Figena
Refresh data, import missing lines, and add balance adjustments without polluting insights.
When balances feel off, refresh accounts and check the 30-day preview. Missing a day? Import a CSV for that account to fill gaps without touching other workspaces.
Add balance adjustments as labeled entries so they remain transparent and separate from everyday transactions. This keeps insights and taxes honest.
Because workspaces are isolated, reconciliations never affect unrelated operations. Filters by account and currency help you review quickly.