Automated Proof of Cash

The Most Powerful Analytic in Your Audit.

Automatically reconcile 100% of the accounting records to the bank—so you can reduce sample sizes, eliminate procedures, and focus your audit on what actually matters.

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Audit Sight Edge

Turn Proof of Cash into Day- Zero Audit Evidence

  • Capture and reconcile 100% of bank activity upfront.
  • Eliminate repetitive procedures like vouching to bank statements.
  • Surface errors earlier in the audit.
  • Reduce sample sizes and streamline testing.
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Built for Real-World Audits:

  • Universal general ledger support
    Upload a general ledger in any format—no integration required.
  • Flexible banking data ingestion
    Process bank statements in any format or upload transaction data via Excel.
  • No dependency on client systems
    Works whether or not your client provides system access.
  • Audit-ready outputs
    Generate standardized, GAAS workpapers ready for review.

Standard vs. Advanced
Choose the level of validation your client requires.

Start with standard. Upgrade to Advacned anytime - no rework required.

How It Works

Upload your clients general ledger and banking data.
Once imported, request a workpaper, and see the result.

Get Started Today

  • Unlimited users from your firm can access the tool.
  • Audit Sight Customer Success Team Member assigned to your account for training and onboarding.
  • Your firm can be up and running in 24 hours with minimal set-up.
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