The client required a cost-effective solution to reconcile transactions between its PeopleSoft general ledger and a partner system with manual reconciliation. Astute proposed a sub-ledger interface that allowed account reconciliation, provided a reporting source, and gave financial control. Astute developed two interfaces and the sub-ledger database for under $100,000 in less than 3 months. The solution gave the client auditable controls, reduced operations costs, and repeatable reporting previously done in spreadsheets.