scenario packs

What TAMi runs.

Ready-made runs for the work your team does by hand — executed on your books, inside the limits you set.

every pack is part of our eval suite — builds that fail it don't ship

Auto
The four-bank month-end

Four banks, seven accounts, 1,847 ledger lines — reconciled overnight, every variance named.

Reconciliationvery hard
Auto
Tie out the balance sheet

Prepaids, accruals, deferred revenue — every account carries its reconciliation, prepared and current.

Reconciliationhard
Assist
Draft the flux narrative

The month-over-month story, written from the ledger — every driver cited to its entries.

Reportinghard
Auto
Consolidate the group close

Every entity translated, intercompany eliminated, the group tied to the locals — in dependency order.

Multi-entityvery hard
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Lockbox PDF to cash application

Every check in the bank's PDF matched to its invoice and posted — the morning it arrives.

Collectionshard
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Reconcile the Stripe payout

One bank line, hundreds of payments. Unbundled, matched, and reconciled to $0.00 overnight.

Reconciliationhard
Auto
Three-way match every bill

PO, receipt, and bill agree — or the bill waits. On every invoice, not just the big ones.

Accounts payablehard
Assist
Climb the dunning ladder

Every overdue invoice worked the day it ages — reminder, follow-up, call — until the promise is captured.

Collectionshard
Manual
Catch the changed bank details

A known supplier emails new routing details. Nothing pays until a person says so.

Accounts payablemoderate
Assist
Run founder finance

The AWS warning, the Stripe balance mystery, the 800 unread invoices — handled without a hire.

Accounts payablemoderate
Auto
Budget-to-actuals per manager

Every manager gets their controllable spend, flagged and drillable — without logging into anything.

Reportingmoderate
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Watch nexus before you cross it

Your sales measured against every state's threshold, live — flagged with runway, not after the notice.

Taxmoderate