Your BSS/OSS and your ERP don't talk. That's costing you.
C-Level builds and manages the integrations that automatically turn field activity into financial records — engineered for durability, not abandoned after go-live.
Financial System of Record

The right tools for each job. The wrong gap between them.
Your BSS/OSS manages subscribers, service orders, and field ops because it was built for that. NetSuite manages your financials because it was built for that. Running the right tool for each domain is how modern operators stay competitive.
The problem is the gap between them. Equipment gets deployed but the fixed asset record doesn't exist until someone creates it manually. Materials get consumed on a job but the project costs don't land until month-end. Billing cycles close but revenue doesn't post without someone touching a journal entry.
Most operators have tried to solve this once. A developer builds something custom, it works for a while, then something changes and everything breaks. Nobody owns it. The accounting team absorbs the pain. C-Level builds integrations that are engineered to last.
The financial records that should be building themselves.
Equipment & Asset Tracking
Every router, ONT, and piece of network infrastructure deployed in the field becomes a fixed asset in NetSuite — automatically. Depreciation schedules, serial numbers, and traceability back to the original purchase order. No spreadsheets, no month-end catch-up.
Construction Cost Routing
Materials consumed on a construction job flow to the correct capital project automatically. Labor, subcontractors, and equipment costs land where they belong — in the right WBS element, in the right period, without manual allocation.
Billing & Revenue Posting
When your billing cycle closes, revenue posts to the right GL accounts without anyone touching a journal entry. Subscriber charges, service fees, and one-time items all move through the integration with the correct revenue classification.
Grant & BEAD Compliance
BEAD-funded deployments have strict cost tracking requirements. The integration routes project costs to the correct grant-funded sub-entities and produces the financial records you need for reimbursement requests and audits — built into the workflow, not bolted on after the fact.
Not a one-time build. Not your problem when it breaks.
Engineered for durability
Built around your NetSuite chart of accounts, entity structure, and BSS/OSS data model — not a generic template that sort-of fits.
Monitored after go-live
We watch the integration after it's live. When something breaks — and something always eventually changes — we know before your accounting team does.
Maintained and supported
Platform upgrades, API changes, chart of accounts restructuring — we handle them. The integration keeps running.
Predictable costs
Flat monthly fee for monitoring and support. No surprise hourly billing when something needs attention. You know what you're paying.
Ready to stop reconciling manually?
Tell us what you're running on and we'll tell you what's possible. We respond within one business day.
The result is an accounting team that spends less time reconstructing data and more time on work that actually requires their expertise — because the financial record is building itself in the background, one field event at a time.
