Double-entry, multi-currency, multi-dimensional accounting that never gets a balance wrong.
A programmable ledger with configurable chart of accounts, transaction templates, and real-time balance tracking. Built on double-entry principles with multi-currency and multi-dimensional accounting from day one — slice every transaction by department, project, location, or any custom dimension.
Click any step to jump to it. The ledger always balances — assets equal liabilities plus equity plus net income.
Why this matters.
Scaffolding a ledger is easy — knowing the right way to handle holds, idempotency, and rounding is hard
One wrong balance can mean regulatory action and lost customer trust
Multi-currency, double-entry, and edge cases take years of domain expertise to get right
Bolting dimensional reporting onto a flat ledger after the fact is painful — and never quite reconciles
What you get.
Everything you need to run a production ledger.
Double-Entry Bookkeeping
Every transaction produces balanced debits and credits. Correctness is guaranteed by design, not by hope.
Multi-Dimensional Accounting
Tag every entry with unlimited dimensions — department, project, location, cost center, customer, or anything else. Run a P&L by any combination, with no extra journals or reclassifications.
Multi-Currency Support
All 196 ISO 4217 currencies pre-seeded, plus custom currency definitions for crypto, loyalty points, or any unit of value.
Chart of Accounts
Pre-built templates by industry, or build your own. Hierarchical account structures with unlimited depth.
Customizable Transaction Templates
Define and customize reusable transaction patterns — entry rules, completion conditions, layered hold/settle flows, and pricing tiers. Every money flow tailored to your business, no fork required.
Real-Time Balances
Balance snapshots updated in real-time. No batch processing delays, no stale data.
Technical Highlights
Built For
Risks Mitigated
- Financial misstatement
- Audit failure
- Compliance gaps
- Regulatory penalties
Works even better together.
These products integrate seamlessly with each other.
Wallet
Per-user balances, instant transfers, holds, and payouts — out of the box.
Learn moreReconciliation
Automated matching of bank statements to your ledger. Every cent accounted for.
Learn moreReporting
Balance sheets, income statements, and branded customer statements — generated, not hand-built.
Learn moreReady to launch your
financial product?
Stop wrestling with double-entry, holds, and reconciliation edge cases. Get in touch to see how Goldie Street can de-risk your roadmap.