Industry expertise

AI Software Development for Finance

FinTech and finance software engineering: real-time treasury dashboards, ERP integration (SAP, Oracle, NetSuite, Dynamics), accounting automation, regulatory reporting, and venture / MarTech platforms, for finance teams that can't afford to be wrong.

2
treasury platforms
$120M+
revenue impact
60s
position freshness
8 wks
avg. delivery
The problem

Finance teams are still running on spreadsheets they don't trust.

The gap between what finance teams need, live positions, automated reconciliation, audit-grade trails, and what their tools actually provide is enormous. Most enterprise finance stacks are a patchwork of legacy ERPs, CSV exports, and manual reconciliation that breaks every month-end.

Finance software operates at the intersection of speed and correctness, a dashboard that's 60 seconds stale is fine; one that's wrong is a compliance event. 7Code has shipped treasury platforms, ERP integrations (SAP, Oracle, NetSuite, Dynamics), accounting automation, regulatory reporting tools, Stripe + 3D Secure billing engines, and MarTech platforms for venture studios, including Founders Factory's Gatsby + Storyblok + Tailwind site overhaul.

What we build

Capabilities in Finance

Real-time Dashboards

Live positions, automated roll-ups, and drill-through from entity summary to transaction, updated on a 60-second cadence, not a nightly batch.

ERP Integration

Native connectors for SAP, Oracle, NetSuite, and Dynamics. We handle the mapping, the delta sync, and the reconciliation breaks, so your team doesn't have to.

Accounting Automation

Journal entry automation, multi-entity consolidation, intercompany eliminations, and period-close checklists that cut close time in half.

Regulatory Reporting

IFRS, GAAP, and jurisdiction-specific reporting modules. Built with your external auditors in mind, not just your internal team.

Predictive Analytics

Cash flow forecasting, scenario modelling, and variance analysis, trained on your historical data, not generic benchmarks.

Fintech Product Engineering

Payments infrastructure, lending platforms, and embedded finance products, built to the reliability bar the financial system requires.

How we work

Our approach in Finance

Every engagement follows this sequence, adapted to your constraints, not the other way around.

01

Data model before UI

We spend the first week mapping every data source, every entity hierarchy, and every reconciliation rule before touching a design file. Finance is unforgiving of schema mistakes.

02

Correctness before speed

Every aggregation is double-verified against source records. We ship a reconciliation test suite alongside the product, not as an afterthought.

03

Parallel run before cutover

New system runs alongside the old one for 30 days, with daily variance reporting. Cutover happens only when the numbers match to the cent.

Frequently asked

Questions teams ask before they start

What do you mean by 'finance software'?

Two strands: (1) software for finance teams inside companies, treasury dashboards, ERP integrations, accounting automation, regulatory reporting; (2) FinTech products, payments, lending, embedded finance, venture-studio platforms. We've shipped both, including the marketing platform for Founders Factory (UK venture studio) and treasury-grade tooling with multi-entity consolidation.

Which ERPs do you integrate with?

Native connectors for SAP, Oracle (Fusion + EBS), NetSuite, Microsoft Dynamics 365, and custom on-prem ERPs via SOAP / REST / file-drop. We handle the data-model mapping, delta sync, and the conflict resolution that generic iPaaS tools skip, including the reconciliation breaks that always show up at month-end.

Can you build for FinTech compliance (SOC 2, PCI-DSS, PSD2)?

Yes. We design the technical safeguards into the architecture: encryption, audit logs, key rotation, segregation of duties, and an evidence pack for the audit. SOC 2 Type II readiness, PCI-DSS scope minimisation (using tokenisation), and PSD2 SCA / 3D Secure are within our defaults, not stretch goals.

How do you handle correctness in finance dashboards?

Every aggregation is double-verified against source records. We ship a reconciliation test suite alongside the product, parallel-run the new system against the old for 30 days with daily variance reporting, and only cut over when the numbers match to the cent. Finance is unforgiving of schema mistakes, we treat correctness as a non-negotiable.

Do you handle payments and Stripe + 3D Secure billing?

Yes, we've shipped Stripe + 3D Secure billing with bank-transfer fallback for enterprise procurement (Numerize, France: 6,000+ accounts), as well as multi-jurisdiction billing engines. We design subscription tiers, upgrade/downgrade flows, and the audit trail finance and tax teams expect.

Available for new partnerships

Ready to build your next product?

Tell us about your project. We'll respond within one business day with next steps.

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