BlackLine Intercompany - Streamline your intercompany processes from transaction creation to settlement to preserve tax strategies and quickly eliminate imbalances.
BlackLine Financial Close - Refocus your teams on analysis and strategic business partnership by replacing repetitive, spreadsheet heavy work with leading-practice automation. Centralize data and close activities, automate journal entries and reconciliations, strengthen controls, and enhance visibility.
Account Reconciliations - Increase accuracy and efficiency across account reconciliation workflows to produce timelier, high-quality financial statements.
Task Management - Seamlessly track and control a variety of accounting task types and leverage role-based workflows and real-time dashboards to proactively identify delays before they create bottlenecks.
Transaction Matching - Reduce risk and focus finance and accounting capacity on exceptions and other priorities by automating repetitive, high-volume transaction reconciliations.
Journal Entry Automation - BlackLine Journal Entry helps companies enhance controls and save time by transforming end-to-end journal entry processes.
Smart Close for SAP - BlackLine Smart Close enables a streamlined and automated financial close. With purpose-built automation, finance and accounting teams can automate traditionally manual close activities, all from directly within their SAP ERP, to accelerate the close with increased visibility and control.
Consolidation & Financial Analytics - Elevate efficiency, control, and transparency across your processes. Consolidate entity financials, generate financial statements, conduct organization-wide analysis, and ensure timely and accurate financial results while executing tasks seamlessly from a centralized platform.
Financial Reporting Analytics - Review and attest to consolidated data with on-demand, end-to-end transparency.
Variance Analysis - Streamline and centralize the calculation and identification of account balance and activity fluctuations in the cloud.
Compliance - Proactively identify and monitor risk with real-time visibility and streamlined control creation, attestation, and testing.
For custom pricing, EULA, or a private contract, please contact Sales@BlackLine.com, for a private offer.
Highlights
BlackLine Intercompany Create - Solve pressing intercompany problems with synchronized transactions across multiple ERPs. Real-time global subledger speeds up supply chain issue detection while automated billing routes handle journal entries and tax-compliant invoices for complex service expenses. AI predictive guidance prevents issues, reducing cleanup, risk, and boosting efficiency.
BlackLine Intercompany Balance & Resolve - A complete virtual subledger of global intercompany transactions designed to streamline and manage reconciliation complexity, including currency exchange rates, transaction amounts, recorded taxes, and exception management, to free up staff capacity and close periods quicker.
BlackLine Intercompany Net & Settle - Empower the collaboration between Treasury, Accounting, Finance, and Tax with real-time visibility on the status of intercompany transactions. Integrate with ERP, banking, and treasury management systems to facilitate and streamline netting, settlement, and clearing processes.
AWS Marketplace now accepts line of credit payments through the PNC Vendor Finance program. This program is available to select AWS customers in the US, excluding NV, NC, ND, TN, & VT.
Pricing is based on the duration and terms of your contract with the vendor, and additional usage. You pay upfront or in installments according to your contract terms with the vendor. This entitles you to a specified quantity of use for the contract duration. Usage-based pricing is in effect for overages or additional usage not covered in the contract. These charges are applied on top of the contract price. If you choose not to renew or replace your contract before the contract end date, access to your entitlements will expire.
Additional AWS infrastructure costs may apply. Use the AWS Pricing Calculator to estimate your infrastructure costs.
This listing uses contract-based pricing with two dimensions you can buy independently. The first covers additional users or additional capabilities, letting you expand access or add functions to your existing setup. The second is Intercompany Financial Management, which supports intercompany processes and is available through a private offer only. Because these are separate options, you select what fits your needs rather than moving through fixed tiers. Pricing scales with the number of users or capabilities you add and the intercompany function you choose. Contact the vendor to arrange the private offer for the intercompany dimension.
Top-of-mind questions for buyers
What does the 'additional users or additional capabilities' dimension actually add to my setup?
This dimension expands your existing deployment. You can add more user accounts so more team members access the platform. You can also add functions beyond your current setup. Each addition is billed separately, so you buy only the users or capabilities you need.
How do the two dimensions combine on my invoice?
The two dimensions bill independently. You can buy additional users or capabilities on their own, or add Intercompany Financial Management on its own, or both. There is no fixed bundle. Your total reflects the specific options you select rather than a single tier.
What processes does the Intercompany Financial Management dimension cover?
This dimension supports intercompany operations across your business units. It helps connect intercompany data, guide transactions before booking, and handle global billing, matching, and reconciliation. It is available through a private offer only, so you arrange it directly with the vendor.
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