Enterprise & Multi-Entity

One platform across every entity.

Consolidated reporting, granular permissions, and full audit trails across multiple subsidiaries, currencies, and legal entities.

Enterprise - Multi-entity dashboard showing consolidated spend, entity-level controls, and audit trail

The Problem

Multi-entity finance without multi-tool chaos.

Most finance tools were built for single-entity companies. At scale, managing subsidiaries across separate platforms creates consolidation debt and audit risk.

Fragmented reporting - no consolidated view of spend and cash across entities

Inconsistent controls - different approval thresholds and policies per subsidiary

Audit trail gaps - missing visibility into who approved what and when

Manual consolidation - month-end close requires pulling data from multiple systems

Enterprise - Multi-entity structure diagram showing consolidated view vs fragmented tools

Controls & Governance

Policy at the platform level. Flexibility at the entity level.

Set global policies once, then delegate spend authority down to each entity, team, or individual with role-based controls.

Role-based permissions

Define who can spend, approve, and view at every level. Global admin, entity manager, cardholder.

Role Hierarchy View

Approval workflows

Multi-step approval chains per entity, spend category, or dollar threshold. Nothing moves without the right sign-offs.

Approval Workflow Builder

Full audit trail

Every transaction, approval, and policy exception logged, timestamped, and exportable for compliance.

Audit Trail Log

Consolidated Reporting

One view across every entity.

Real-time consolidated P&L, spend dashboards, and cash positions across all subsidiaries. Close faster. No manual data pulls.

Enterprise - Consolidated reporting dashboard showing spend, cash, and P&L across all entities

Consolidated P&L - live profit and loss rolled up across every subsidiary

Entity-level drill-down - click into any subsidiary for granular spend and cash data

Accounting sync - QuickBooks and Xero with entity-level chart of accounts mapping

Exportable at any level - transaction, entity, or consolidated report at any point in the month

Treasury & Credit

Banking and credit that scales with your entities.

Separate accounts per entity. Credit lines that adapt to each entity's revenue. Full visibility from the parent level down.

Entity-level accounts

Each subsidiary gets its own FDIC-insured accounts. Operating, tax, and reserve all separated.

Entity Account Structure

Revenue-based credit per entity

Each entity's credit limit is underwritten on its own revenue performance. Scales independently as each entity grows.

Entity Credit Limits

Parent-level oversight

Global admin sees consolidated cash, credit utilization, and spend across every entity in real time.

Parent Oversight Dashboard

Built for Enterprise

Finance infrastructure that grows with your org.

From two entities to twenty. Parker scales without requiring you to rebuild your financial stack at each stage of growth.

Add entities without rebuilding - onboard new subsidiaries into the same platform

Global policy + local execution - set guardrails centrally, delegate authority down

Compliance-ready - full audit trail, approval logs, and exportable data for any audit

No personal guarantee - protect founders and executives at any entity level

Enterprise - Multi-entity org chart showing scalable entity onboarding and policy hierarchy

Get Started

Ready to consolidate your finance stack?

One platform. Every entity. Full control. Talk to sales to see how Parker fits your org structure.