Objective: Build a system to manage financial flows between different business units/workspaces, reconciling balances and generating settlement reports.
Key Files: IntercompanyTransaction.js (Model), ReconciliationReport.js (Model), reconciliationEngine.js (Service), settlementService.js (Service), reconciliation.js (Routes), reconciliation-hub.html (UI), reconciliation-controller.js (Logic),
server.js
(Reg).
Complexity: Automated matching algorithms for inter-ledger transfers, discrepancy detection, and automated settlement generation.