Solutions

Consolidated cash views without a monolithic ledger merge in v1

Run per-entity envelopes then merge structured outputs — a playbook for holding companies and PE-backed rollups using Cashytics routes.

Holding companies often delay analytics until finance perfects intercompany eliminations. Per-entity POSTs let product teams ship cash intelligence earlier while controllers finish GL consolidation on their own timeline.

Entity keys and traceability

Use stable `account_id` values aligned to legal entities. Merge structured drivers upstream with your consolidation keys rather than forcing one mega-envelope prematurely.

Roll-up dashboards

Aggregate worst-of distress flags across children to bubble risk to parent dashboards while preserving entity-level JSON for audits.

Cash pooling and notional balances

When physical cash pools obscure subsidiary-level stress, document how you allocate balances in envelopes so lenders do not misread a healthy parent mask.