Microsoft Dynamics 365 Integration | AICO by Pacera

Automate the Close with Dynamics 365 Integration

Aico delivers real time integration with Microsoft Dynamics 365, enabling instant journal validation, automated data refresh and fully synchronised financial workflows.

Why Do CFOs Choose Microsoft Dynamic 365 Integration?

Manual file transfers and disconnected systems slow finance operations and create inefficiencies across the close. CFOs choose Aico because it provides secure, real time connectivity between Dynamics 365 and the wider financial ecosystem, keeping data accurate, aligned and accessible across all teams.

Aico automatically validates information against Dynamics master data, ensures consistent general ledger updates and eliminates repetitive manual tasks. Finance teams can manage integrations independently using a no code setup, reducing reliance on IT and allowing rapid adaptation to new business structures or ERP migrations.

“Aico doesn’t overpromise or underdeliver.”

How Real Time Integration Strengthens the Close

Real Time, Bi Directional Sync

Finance Led Integration Control

Unified Data for Faster Close Cycles

Full Traceability and Compliance

Real Time, Bi Directional Sync

Keep transactions, balances and master data aligned across Dynamics 365 and connected systems with instant, automated updates.

Finance Led Integration Control

Use guided, no code setup to design and maintain integrations without IT support. Adapt processes quickly as business needs evolve.

Unified Data for Faster Close Cycles

Break down silos and automate reconciliations by centralising accurate, validated data across all teams and regions.

Full Traceability and Compliance

Every data exchange is logged and auditable. Role based access, encryption and documentation support strong governance and regulatory compliance.

How Aico Microsofr Dynamic 365 Integration Works

Establish secure connectivity between Aico and Dynamics 365. Set up integrations using intuitive, finance friendly configuration tools.

Journal entries, balances and master data are validated and updated in real time. External sources such as CSV, Excel or XML import seamlessly into Dynamics workflows.

Automate journal creation, feeding reconciliations and running financial checks with live data. Dashboards highlight integration health and exceptions for proactive resolution.