Assessment

Reporting Accuracy Reconciliation

When leadership questions a spike or a shortfall, the first job is to separate pipeline distortion from real demand. Reporting Accuracy Reconciliation focuses on a defined window, maps each published metric to its event lineage, and explains every material variance in plain language suited to product and finance readers alike.

Inquire about this assessment

Printed financial and operational reports on a table

Who it is for

Teams preparing board packs, partner settlements, or regulatory submissions that depend on application event totals.

Result

A reconciliation workbook and narrative explaining variances, with clear cut lines between pipeline error and legitimate business change.

  • Duration 1–2 weeks
  • Delivery Remote
  • Fee basis From ₩2,900,000 — Per reporting package
  • Preparation Export the published reports and the operational extracts for the same dates.

Included

  • Selection of up to five critical report metrics
  • Windowed comparison against agreed operational sources
  • Variance classification and stakeholder briefing

Not included

  • Legal attestation or external audit certification
  • Finance system reconfiguration

How the work proceeds

  1. Metric selection

    Lock the reports and time window under review.

  2. Source mapping

    Align event definitions to operational counterparts.

  3. Variance briefing

    Walk through residual gaps and recommended adjustments.

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