Accelerate Your Proof of Cash.

Move deals forward with confidence.

Audit Sight automates proof of cash for transaction advisory teams, eliminating manual reconciliation so you can focus on material risk—not spreadsheet work.

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Audit Sight Edge

Turn proof of cash into a deal accelerator.

  • Built for real-world diligence data — PDFs, spreadsheets, and system exports
  • Reviews every transaction automatically
  • Surfaces reconciling items early.
Learn More

Built for Proof of Cash in Real Deals:

  • Full-period bank transaction review
    Every bank and GL transaction is analyzed.
  • Automated identification of reconciling items
    Transfers, sweeps and timing differences.
  • Account rollforwards for key balance sheet areas
    Debt, equity, fixed assets, sales tax, reconciled instantly.
  • Structured, client-ready proof of cash workpapers
    Clean outputs ready for review.

Standard vs. Advanced
Choose the level of validation your deal 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 results in seconds.

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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