About

Built around the reconciliation, not around a product pitch

Software Framework exists to finish bank reconciliations that finance teams cannot leave hanging through close.

Origin

The practice started in New Taipei after repeated month-end calls where cash accounts “balanced” only because open items had been swept into an unexplained plug. Controllers needed someone who would sit with statements, age deposits in transit, and write findings in plain English.

We kept the name Software Framework because our reconciliation workbook and matching routines are the quiet instrument behind each engagement — never the subject of the work. The subject remains the bank account, the ledger, and the people who must sign them off.

How we work

Every engagement begins with a scoped account list and a period. We refuse vague “full cash review” briefs. Matching happens against official bank statements. Exceptions get owners, ages, and next actions. When paper packs still live in Tucheng filing rooms, we review them on site.

Two colleagues reviewing documents across a table

Office

No.669-2,ChingYunRd.TuchengTaipei

+886222641669

hello@software-framework.digital

Values that show up in the pack

Evidence over comfort. A zero difference means nothing without support for each reconciling item.

Clear ownership. Open items leave our desk with a named follow-up, not a vague “monitor” note.

Local banking rhythm. We plan around Taipei clearing days, holiday calendars, and the practical limits of branch statement retrieval.