Vs.

The NetSuite alternative built for the full finance team.

Eliminate manual schedules in Excel. Running reporting directly out of your system of record.
Build apps and agents with the right infrastructure.

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Netsuite stores your numbers. Excel does your accounting.

For most finance teams, Netsuite does one job (stores journal entries). Point solutions run accounting. Edge cases are handled in Excel. FP&A requires a separate platform.

Why Controllers Switch

Numeric runs your accounting and reporting with full context.

Numeric operates as a data lake with a layer of accounting logic, agent first infrastructure that finally brings recurring work to near zero. Management reporting, GAAP financials, and operational context all in one system.

In NetSuite

The real work happens outside the system

Roll-forwards, prepaid schedules, accruals, complex revenue — exported to Excel, maintained by hand, re-tied every month.

In Numeric

That work runs inside the platform. Schedules derive from source data, recs tie themselves, and even usage-based revenue is handled natively.

In NetSuite

The GL can't answer real questions

The GL keeps only a few fields, so the detail behind your numbers — customer, SKU, usage — lives somewhere else. Real reporting means buying a seperate FP&A tool or data warehouse to add the context back.

In Numeric

The detail never leaves. Slice financials by customer, cohort, or entity right where the accounting happens. GAAP reporting and operational decision-making run out of the same underlying data set.

In NetSuite

Every change is a project

A reorg means manual reclasses. A pricing change means consultants. A schedule can't be touched mid-stream.

In Numeric

Controllers configure treatments, mappings, and policies themselves. The business changes; your system adapts.

How Numeric and NetSuite compare

RUN YOUR CLOSE

Close management & sign-offs

Built in
Requires a separate close tool

Automated Reconciliations

All accounting done in system, reduced need for recons
Basic — teams fall back to Excel

Flux analysis with drivers

Built in, AI-drafted
Manual exports

Cash Matching

90%+ match rate
Exact-amount; breaks on fees & one-to-many

BILL & RECOGNIZE REVENUE

Usage-based billing

Built in
Incomplete for hybrid businesses

Rev rec derived from contracts

Built in, ASC 606 enforced
Gaps push teams to bolt ons

Order-to-cash lineage

Invoice → contract → usage
Not available

REPORT & ANSWER QUESTIONS

Report on any dimension

No formulas, no admin
Less context, requires admin help

Full transaction context preserved

Every attribute kept
Flattened to limited fields

Live daily data

Continuous
Requires manual month-end work

TRUST & SCALE

Multi-currency, multi-entity

Yes
Yes

Consolidations

Yes
Yes

Scales as you IPO

Yes
Yes

Traceability to the source object

Every number, to its event
Trail ends at the JE

RUN THE SYSTEM

Controllers make changes themselves

Self-serve configuration
Admin / consultants

Implementation

Module by module
6+ months

CRM built in

No — integrates instead
Yes

What Numeric allows us to do today is have the flexibility to approach any future problem with the support of the system. How can we use this system to answer the problems of tomorrow that we might not have today?...It was designed to be flexible enough for us to configure and solve operational problems, accounting problems, and finance problems with the data set that we have.


How to Migrate

Start with close,
expand over time.

Start on top of NetSuite

Numeric Close runs on the ERP you have today — connect, configure, and close in it your first month. Nothing to rip out.

Move the highest-impact modules first

Cash matching, billing & revenue, accruals — cut over the areas where NetSuite costs you most, one module at a time, each proving value before the next.

Replace the GL when it's earned

By cut-over, your data, workflows, and team already live in Numeric. The final step is derisked — run parallel for a close or two, then switch.

Meet the financial
data platform.

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