Private AI for Business

Finance workflow / statement analysis

Financial statements hide the story in the notes.

We build private workflows that extract figures from approved financial statements, compare periods and entities, and prepare an analysis draft for the finance team. The workflow prepares the record; the finance owner owns the conclusion.

Statement mapPeriod compareAnalysis draftFinance review
A neutral example of the same workflow pattern, run on supplied synthetic material.

Pattern demonstration / same workflow, synthetic material

Fixed-scope setupClient-owned accountsDraft-and-review firstFull handover

Where statement analysis loses time

The numbers exist. The narrative is the work.

Analysis means connecting the balance sheet, income statement, cash flow, notes, and prior periods without losing the source.

01 / MAP

Read the statement set

Organize balance sheet, income, cash flow, and notes with figures, periods, and source references.

02 / COMPARE

Build the movement view

Compare periods, entities, budgets, or segments and surface the largest or most unusual changes.

03 / DRAFT

Prepare the review pack

Assemble an analysis draft with figures, context, and open questions for the finance owner.

The analysis boundary

The system prepares the record. It does not issue the opinion.

SOURCE

Keep the statement attached

Every figure stays linked to the statement, page, note, version, and period that produced it.

PROFESSIONAL

Conclusions stay expert

Audit, valuation, forecast, and investment conclusions remain with the qualified finance professional.

OUTPUT

No automatic filing

Statutory accounts, filings, and external reporting remain explicit human decisions.

A first statement workflow

Start with one entity and one comparison.

Choose the entity set

Pick the company, fund, or reporting unit with a clear statement package.

Define the fields

List the statements, periods, segments, notes, and comparison rules the team needs.

Test against known results

Compare the prepared analysis with recent reporting and fix figure, note, or formatting issues.

Hand over the review pack

Deliver the analysis draft, source links, and open questions to the finance owner.

A financial statement analysis is useful when every number still points back to its source.

Why trust Pristine3D?

We build and operate production software.

Pristine3D Ltd builds and operates live digital products, and we run private AI workflows internally as part of our own operations. We scope around your real workflow: the documents you own, the questions your team asks, and the access boundary you approve. Based in Lagos, Nigeria, we work remotely with clients worldwide.

METHOD

We start with the actual workflow

One input, one output, one test set, and one person who owns the result. We scope a real workflow instead of a transformation programme.

OWNERSHIP

The boundary stays visible

Cloud, model, storage, and messaging accounts stay in your name. The chosen data path, access rules, test record, documentation, and training are part of the agreed scope.

Pricing / fixed scope

Know the starting numbers before you ask.

The final quote follows the workflow. Infrastructure and model bills stay on your accounts.

Annual support

Starting from
$3,000 / ₦1.5m
per year

Standard care for one delivered workflow. Optional. Larger deployments and active monitoring are separately scoped.

See support

Architecture review from $500. Standard annual support is $3,000 / ₦1.5m per year for one delivered workflow. New workflows, integrations, active monitoring, and infrastructure are separately scoped; infrastructure, model, storage, and messaging bills stay on client accounts. Full pricing and what changes the quote

Straight answers

Common questions.

Does this issue an audit or valuation opinion?

No. It prepares figures and analysis. Professional opinions stay with the qualified finance professional.

Can it compare international statement formats?

Yes, if the formats and mapping rules are defined. The workflow flags uncertain mappings for review.

How is this different from the CFO page?

That page covers the CFO's month and board pack. This page is the specific analysis artifact: statement extraction, period comparison, and review drafts.

Own your knowledge base

The model is not the product. The knowledge base is.

Documents, the retrieval index, access rules, and the workflows built around them are the asset, and they compound. We deploy so the knowledge base stays yours: on your accounts, in the environment you choose, under access rules your team defines. The model behind the answers is a connector, so the knowledge base moves with you, not with a vendor.

THE ASSET

Your corpus, your index

The document store, metadata, and retrieval setup live on accounts you own. No vendor holds the corpus.

THE LOCK-IN

Models are swappable parts

Change the model provider, move regions, or go local without rebuilding the knowledge base or the workflow.

THE ALPHA

The knowledge base is the alpha

Every improvement to the corpus improves the answers, and the improvement stays with you, not with a vendor.

Keep exploring

Related setups.

Start with the entity set

Which statements does the team analyze every cycle?

Tell us the entities, the periods, and the review owner. We will scope the analysis workflow around the records you already trust.

Prefer email? Message us at hey@pristine3d.com.