Okay, let’s go 
head to head

Primary function

Tracking task completion status, like a digital checklist

Automation depth

Preparation effort often remains manual.

Scalability

Limited to data already in NetSuite. Scales by expanding ERP workflows and templates.

Implementation

ERP configuration and workflow setup inside NetSuite

Execution

Static records inside the ERP, locked into NetSuite’s logic and constraints

ROI

Rigid templates require consultants, delaying the gains in efficiency.

Audit trail

Process-level (shows you who signed what)

Primary function

Executing accounting work end-to-end. Ensuring your NetSuite data is actually accurate before you sign off.

Automation depth

AI agents execute reconciliations, working papers, journal entries, and flux automatically

Scalability

Scales by assigning persistent AI agents to workflows. The logic is then reused and extended.

Implementation

Go live in hours by importing checklist and connecting systems

Execution

Has self-rebuilding Excel files with live formulas for continuous reconciliation

Audit trail

Deterministic code logs every step & calculation, and ties to source data in banks and PSPs

ROI

Immediate workload reduction through generated schedules and entries

We're on a mission to automate and simplify finance operations for teams working at scale.

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FAQs

Netgain centralizes close management inside NetSuite. Ledge uses AI agents to execute the close itself — generating working papers, drafting entries, and pulling live data across systems.

Netgain supports structured reconciliation workflows within NetSuite. However, supporting schedules and cross-system reconciliations may still require external preparation.

No. Ledge is a NetSuite-native SuiteApp. It operates inside the NetSuite ecosystem while automating accounting preparation across systems.

Yes. Ledge supports multi-entity reconciliations, intercompany workflows, eliminations, and cross-system close orchestration.

Every working paper includes:

  • Source-level traceability
  • Live formulas
  • Linked journal entries
  • Full execution logs

Accountants review and approve before posting.

AI-generated working papers

Custom-coded agents

Continuous account reconciliation

Stop checking boxes with Netgain. 

Automate your NetSuite close with Ledge.

Why Netgain holds you back on the close

1

You still manually prepare many supporting schedules, like accrual rollforwards, prepaid amortization tables, and intercompany tie-outs.

You’re stuck in spreadsheets

2

It relies heavily on manual saved search and rigid rules in NetSuite. Reconciling with banks, Stripe, and HRIS leads to broken automations and messy data.

It’s a multi-system mess

3

You see what’s in NetSuite, but not banks, PSPs, sub-ledgers, and billing platforms. When data lives outside the ERP, teams need to export, validate, and re-upload.

Limited data visibility

4

The close resets each month. That means many teams still rebuild schedules, recalculate roll-forwards, draft recurring entries, and reconcile the same sources.

Constant manual work

Book a demoBook a demo

No automation bottlenecks

Native tools only see what’s inside the ERP. Ledge connects directly to banks, processors, HRIS, and your other source systems, so you verify GL data at the source.

95%+ time saved

With a consistent, accurate balance sheet, your team can stay audit-ready and focus on review instead of prep.

5+ days faster close

As you automate reconciliations, you can shorten close cycles on NetSuite by 5-7 days on average.

Closing is faster and more accurate with Ledge

Let’s look at the scoreboard 

Book a demo

Stop letting native tools slow you down. 
See how Ledge does the close faster.

AI agents do the work for you

Auto-generated working papers and JEs

150+ integrations for ERP, banks, HRIS, and more

Full transaction-level visibility from source to books

Let AI agents handle 
all your accounting workflows

Bank reconciliation automation built for the month-end close

AI agents continuously review data from NetSuite, banks, payment processors, and other systems. Every reconciliation appears as a pre-built close task, already matched, explained, scheduled, and supported with statements and tie-outs.

Sync your subledger from
NetSuite to the GL

Agents automatically tie AP, AR, inventory, and other sub-ledger balances to the GL. Your team can quickly investigate variances, and produce complete reconciliation schedules, without exports, queries, or VLOOKUPs.

Sync intercompany
accounts in seconds

The intercompany matching solution makes it easy to reconcile due-to/due-from balances across entities. Agents match activity, identify imbalances, and prepare ready-to-sign documentation automatically.

Effortlessly handle
period-end estimates & deferrals

Automate prepaid amortization schedules, accrual true-ups, deferred revenue waterfalls, and payroll-to-GL reconciliations. Then, agents draft the related journal entries and prepaid rollforwards and tie to the GL balance.

Book a demo

What getting started looks like with Ledge

Book a demo

Netgain is where you store your close. 
Ledge is how you get the close done.

Our AI agents do the hard work for you

Netgain gives you a digital version of your to-do list. Ledge gives you an AI agent that logs into your systems, pulls the data, and executes the work across your full close: reconciliations, flux, working papers, and journal entries. Your team gets completed outputs ready for review and a final click-to-post.

Book a demo

Primary function

Automation depth

Scalability

Implementation

Execution

Audit trail

ROI

Executing accounting work end-to-end. Ensuring your NetSuite data is actually accurate before you sign off.

AI agents execute reconciliations, working papers, journal entries, and flux automatically.

Scales by assigning persistent AI 
agents to workflows. The logic is then reused and extended.

Go live in hours by importing checklist and connecting systems.

Has self-rebuilding Excel files with live formulas for continuous reconciliation.

Deterministic code logs every step & calculation, and ties to source data in banks and PSPs.

Immediate workload reduction through generated schedules and entries.

Static records inside the ERP, locked into NetSuite’s logic and constraints.

Tracking task completion status, like a digital checklist.

Preparation effort often remains manual.

Limited to data already in NetSuite. Scales by expanding ERP workflows and templates.

ERP configuration and workflow setup inside NetSuite.

Process-level (shows you who signed what).

Rigid templates require consultants, delaying the gains in efficiency.

Netgain gives you a digital checklist. 
Our Digital Staff Accountants do the work.

NoMoreFragile
No more fragile,
fragmented reconciliation
AI agents continuously review data from NetSuite, banks, payment processors, and other systems, and perform both two-way and multi-way matching against GL activity.
AuditTrail
Stop worrying about gaps in
your audit trail
AI agents create journal entries tied to reconciliation and working papers, route them through built-in approval workflows, and tie all entries back to source data.
RepetitiveBusyWork
Skip the manual, repetitive
busy work
AI pulls in the data so accountants start with a complete, structured working paper instead of a blank spreadsheet. This reduces the pressure and effort it takes to close.
ReconciliationProcess
Keep improving
your reconciliation process
Add new agents for new workflows anytime. You can update logic in plain language as processes change, and get expert customer support for setup and optimization.
NoMoreFragile
No more fragile,
fragmented reconciliation
AI agents continuously review data from NetSuite, banks, payment processors, and other systems, and perform both two-way and multi-way matching against GL activity.
AuditTrail
Stop worrying about gaps in
your audit trail
AI agents create journal entries tied to reconciliation and working papers, route them through built-in approval workflows, and tie all entries back to source data.
RepetitiveBusyWork
Skip the manual, repetitive
busy work
AI pulls in the data so accountants start with a complete, structured working paper instead of a blank spreadsheet. This reduces the pressure and effort it takes to close.
ReconciliationProcess
Keep improving
your reconciliation process
Add new agents for new workflows anytime,. You can update logic in plain language as processes change, and get expert customer support for setup and optimization.
Book a demo

Your close, live in Ledge

Import your existing close checklist

Click to connect to NetSuite

Get task ownership, visibility, alerts, and orchestration

Tasks handed off

Turn checklist tasks into automated workflows

Click-to-connect banks, HRIS, billing, and hundreds more

Configure your first agents

An agent-driven close

Agents running core checklist tasks

Reconciliations, workpapers, and flux prepared end-to-end

Journal entries drafted or posted to NetSuite

Day 1

Day 7

Day 30