Use case · Finance

The weekly finance check, done.

Forward a month of receipts. Finance reads them, codes them, and tells you in plain words why this month cost more than last.

The problem

You know the number, not the reason.

The bank balance tells you what happened. It does not tell you why, and finding out means an evening with a spreadsheet and a shoebox of receipts.

What Lucy does

The difference, explained.

Finance reads every receipt and codes it. It asks Operations what changed on site that month, and writes you a short note: what moved, by how much, and what caused it.

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Get the story behind the number.