Pricing
Deterministic accounting verification — pay per analysis, not per month
What You Get
Complete Financial Analysis
Full validation of your accounting entries with balance checking, duplicate detection, and anomaly identification
3 Professional Export Formats
Download your analysis as PDF (formatted report), CSV (raw data), or Excel (multi-sheet workbook)
Permanent Audit Trail
All analyses are stored with timestamps for compliance and traceability
Actionable Recommendations
Get specific, professional recommendations for fixing identified issues
100% Deterministic
No guessing, no probabilities — same input produces same result every time
Questions? Check our FAQ below or contact support@meridianos.tech
Complete Per-Analysis Deliverables
When you purchase one analysis for €29.99, you receive everything below
✓ Financial summary (debits, credits, balance)
✓ Data overview with transaction statistics
✓ Issues & alerts section
✓ Account-by-account breakdown
✓ Recommendations for action
✓ Professional formatting with branding
✓ Raw accounting entries in standard format
✓ UTF-8 encoding with BOM for Excel compatibility
✓ 7 columns: date, account code, name, debit, credit, description, reference
✓ Ready for further processing in accounting software
✓ Professional filename with timestamp
✓ Data sheet with all accounting entries
✓ Summary sheet with analysis results
✓ Accounts sheet with breakdown by account
✓ Professional formatting and column widths
✓ Ready for printing or client delivery
✓ Permanent storage with timestamp
✓ Complete analysis metadata preserved
✓ Quick retrieval of historical analyses
✓ Compliance-ready documentation
✓ You control deletion (indefinite storage)
What Happens During Analysis
• Format check (CSV or Excel)
• File size verification (max 10MB)
• Required columns validation
• Parse accounting entries from file
• Validate date formats (YYYY-MM-DD)
• Verify numeric amounts and currency
• Calculate total debits and credits
• Check if debits = credits
• Report any imbalance with difference amount
• Identify exact duplicate entries
• Composite key matching (date + amount + account)
• List all duplicates with details
• IQR-based statistical outlier detection
• Identify unusual amounts
• Flag invalid dates and accounts
• Compile all findings into professional report
• Generate 3 export formats (PDF, CSV, Excel)
• Store in audit trail with timestamp
Frequently Asked Questions
Still have questions?
Contact our team for personalized assistance