---
title: Pre-Accounting Solution - 3V Finance
description: Find out how titantreasury’s accounting interpretation functions can help you manage pre-accounting of your market transactions securely and reliably.
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---

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## PRE-ACCOUNTING

# Make generating and balancing of accounting entries for market transactions easier.

**titan**treasury is the robust and secure solution to speed up production of settlement and revaluation entries before uploading to your accounting package.

![businesspeople-working-finance-accounting-analyze-financi](https://www.3vfinance.com/hs-fs/hubfs/businesspeople-working-finance-accounting-analyze-financi.jpg?width=5750&height=3788&name=businesspeople-working-finance-accounting-analyze-financi.jpg)

## **Coordinate smooth exchanges between the accounting and treasury departments**

Use our “Front-to-Back-to-Accounting” solution to generate robust and balanced entries that are immediately available for use by your accounting software.

Retrieve exhaustive data that has been checked and approved ahead of time by your treasury department directly in **[titanTreasury](https://www.3vfinance.com/en/titan_treasury-strengthen-your-tms?hsLang=en)**, our specialist financial risk management TMS.

What if your Back Office could generate settlement entries in real time using powerful automated functions as part of a customisable control workflow? Our solution offers just that capability. Configured to the nearest rounding point in direct contact with your banking partners, each flow is recorded with the utmost precision to avoid any inconsistencies in the accounts.

Ensure seamless interactions with your treasury department during monthly (period-end) posting of current transactions (rediscounting).

Use the mark-to-market valuation of the financial positions recorded in our solution to:

- Drastically reduce the time required to check revaluation entries;
- Reduce the treasurer’s reporting workload;
- Cut out data re-entry tasks.

[![Download the fact sheet](https://hubspot-no-cache-eu1-prod.s3.amazonaws.com/cta/default/2997729/2339da31-a883-434d-b386-8c599894df8f.png)](https://hubspot-cta-redirect-eu1-prod.s3.amazonaws.com/cta/redirect/2997729/2339da31-a883-434d-b386-8c599894df8f)

![Accélérez le traitement de votre comptabilité](https://www.3vfinance.com/hs-fs/hubfs/Acc%C3%A9l%C3%A9rez%20le%20traitement%20de%20votre%20comptabilit%C3%A9.png?width=350&height=350&name=Acc%C3%A9l%C3%A9rez%20le%20traitement%20de%20votre%20comptabilit%C3%A9.png)

## **Speed up the accounting entry process **

Automatically translate your hedging transactions ([FX](https://www.3vfinance.com/en/fx_risk_management_by_3vfinance?hsLang=en), interest rate, [liquidity](https://www.3vfinance.com/en/liquidity_risk_management_by_3vfinance?hsLang=en) and [commodities)](https://www.3vfinance.com/en/commodities-management-by-3vfinance?hsLang=en) into accounting language, regardless of volume and whether they originate in** titanTreausry **or a 3rd party tool.

Generate your cash flow and mark-to-market revaluation accounting entry files, as well as more detailed files (pro rata accounting entry file on the swap points – contango/backwardation) for the "interest" component of your FX forwards).

Send the accounting entry files generated by our accounting interpretation functions from your chart of accounts to your accounting software in line with all your export criteria (uniqueness key, filters, fields to be exported, formats and more).

You can opt for centralised accounting or to manage subsidiaries’ accounting entries independently (through separate charts of accounts and using different engines for generating entries).

Our team is here to help. We want to make sure you make the most of all the features and benefits of our TMS, from initial set up of pre-accounting in **[titanTreasury](https://www.3vfinance.com/en/titan_treasury-strengthen-your-tms?hsLang=en)**, and throughout the life of the solution.

 

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## Balance your pre-accounting

Preview and approve entries and reports (register, ledger, trial balance, etc.) before exporting to your accounting software to ensure your final accounting data is sound and reliable.

Check that your pre-accounting of market transactions is balanced correctly. Detect and amend any accounting errors before exporting the data to your accounting package.

Leverage the power of our extremely accurate accounting interpreter to cut out the need for miscellaneous transactions and produce flawless pre-accounting data.

Get instant access to the history set with the value date of your accounting transactions.

 

Harness **titanTreasury’s **accounting interpretation algorithm to generate and balance the accounting entries for your market transactions before exporting data to your accounting software.

 

[![Download the fact sheet](https://hubspot-no-cache-eu1-prod.s3.amazonaws.com/cta/default/2997729/2339da31-a883-434d-b386-8c599894df8f.png)](https://hubspot-cta-redirect-eu1-prod.s3.amazonaws.com/cta/redirect/2997729/2339da31-a883-434d-b386-8c599894df8f)

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