A one-time Excel/Sheets pack for finance teams matching payroll exports from multiple countries back to the general ledger by hand.
Use country/provider input tabs to map columns, currencies, employer costs, benefits, taxes, and payroll batches before the close file starts.
Roll normalized payroll totals into an entity-level tie-out with variance fields, owner notes, and month-end sign-off.
Track unresolved deltas, root causes, owners, and recurring mapping fixes so next month starts from a known file instead of a blank sheet.
A finance-team workbook structure for recurring payroll reconciliation, not a full HRIS, payroll platform, or advisory service.
Separate provider tabs, mapping notes, currency fields, and country/entity rollups keep different payroll formats from wrecking the close.
A small digital pack you can buy once, adapt to your provider exports, and keep in Excel or Google Sheets.
The free payroll tie-out check scores provider-file completeness, stale mappings, GL deltas, exception ownership, and review-window risk. It gives tomorrow's outreach a useful first click while the full workbook pack waits on checkout activation.
Checkout opens the day payments go live. Leave your email to lock the founding price: $19 for the first 25 buyers, then $29. We email you the link that day, nothing else.