Olivo Finance OS
성장할수록 재무는 복잡해집니다.
정산은 Olivo에 맡기세요
Olivo는 매출, 광고비, 현금흐름 등 재무 데이터를
하나의 시스템으로 연결해 의사결정을 돕습니다
채널별 실수령 이달
규칙 반영현금흐름 30일
예상A finance layer
for Agentic Transformation.
One trusted layer for signals, automation,
and executive decisions.
Why now
Settlement becomes
the growth bottleneck
As channels multiply, finance work does not scale linearly. Settlement, fees, returns, timing, and files start blocking decisions.
Different settlement files
Owned mall, marketplaces, offline, and overseas channels each carry different formats, fees, returns, and timing.
Manual close work
Teams spend days every month matching files in spreadsheets, while errors and exceptions are hard to verify.
Unclear real profit
Sales and cash received are not the same. True channel and SKU profitability is often still judged by intuition.
Hiring becomes the fix
Every new channel pushes more operational load onto finance, slowing the pace of growth decisions.
How Olivo works
Managed finance AX,
not a generic SaaS login
Olivo takes responsibility for connection, operation, and verification. We start with the highest-impact workflow, then expand from real operating data.
Go deep on the core
We do not spread shallow features everywhere. Settlement and close are made accurate first, then profitability and forecasting are layered on top.
Operate the workflow
Channel connections, settlement rules, monthly checks, and exception handling are managed by Olivo.
Expand with the team
Priorities are set together, and new capabilities are added in the order that real data proves most useful.
What changes
Finance work changes from reconciliation to judgment
Stop getting held back by settlement. Focus on expansion.
Monthly close
Number accuracy
Profitability
Executive reporting
Organization and staffing
System connection
Collect channel settlement files and match spreadsheets for 5-10 days each month.
Missing, duplicate, and mismatched rows are mixed into the numbers.
Channel and SKU margin is estimated by intuition.
Scattered files are collected again to prepare separate reports.
Every channel expansion creates pressure to add finance headcount.
Excel work has to be touched again before moving into ERP.
Close runs automatically each month; finance reviews exceptions.
Reconciliation confirms net receipts and detects errors automatically.
Weekly profitability is reviewed from settlement-based numbers.
Core numbers arrive every morning where leaders already work.
The same team can handle more channels with controlled workflows.
Outputs are prepared in a form that can move directly into ERP.
As a result, teams can expand channels without adding finance headcount just to keep up with settlement work.
What gets built
The operating outputs
finance can actually use
Olivo reconciles raw channel files, applies operating rules, and turns them into numbers teams can review, report, and act on.
Operating clarity
One view for finance
and business
Normalize revenue, ads, payroll, tax, inventory,
and cash with source context.
Move spend to contribution ROAS winners.
Review settlement gap before close.
Send runway brief.
Executive intelligence
Turn data
into action
Concise signals for CEOs, CFOs,
and operators.
Workflow automation
Less manual reporting.
More verified action.
Reports, forecasts, blockers, and approvals
stay clear and traceable.
Commerce, ads, bank, tax, HR.
Source, date, currency, owner.
Briefs and action queue.
Why Olivo
Olivo is shaped around how companies actually operate: configurable finance workflows, a clear market role, and a team that understands both numbers and systems.
Market position
Between dashboards,
outsourcing, and enterprise AX
Olivo sits where finance accuracy and operating decisions meet: deeper than a chart tool, more productized than manual outsourcing, and lighter than enterprise transformation.
Analytics SaaS
Shows contribution and ROAS charts, but not reconciled settlement and cash numbers.
Finance outsourcing
Handles close and cashflow work, but channel and SKU decision signals remain separate.
Olivo Finance AX
Combines accurate settlement, channel/SKU profitability, and recurring operating review.
Enterprise AX
High-trust transformation, but with larger implementation scope and slower adoption.
Why Olivo
Built by people
who know the numbers and the systems
Olivo brings together finance professionals from global investment banks, founders with commerce operating experience, and software builders who have scaled and exited companies.
Finance discipline
Global investment banking and capital markets experience shape how numbers are modeled and verified.
Commerce operating context
The team has worked directly with cross-border commerce, marketing, and channel operations.
Software execution
Experienced builders bring large-scale product engineering, automation, and company-building discipline.
Additional angels include operators and investors from Palantir, Goldman Sachs, Morgan Stanley, and IMM.
Security by design
Finance data needs
careful controls
Olivo uses official connections, limited permissions, isolated customer environments, and traceable processing so sensitive finance data is handled carefully at every step.
Official connections first
OAuth and official APIs are prioritized. When files are required, transfer routes are separated from everyday communication channels.
Customer-level isolation
Each customer’s credentials, raw files, warehouse tables, and dashboards are separated by project boundary.
Least-privilege access
Only the permissions required for the agreed workflow are requested, and access can be revoked or rotated by source.
Traceable processing
Source, date, unit, freshness, and transformation history remain visible so numbers can be audited instead of guessed.
재무 운영 레이어를
Olivo와 함께 구축하세요
가장 임팩트가 큰 업무부터 시작해
일일 보고, 자동화, 경영 인텔리전스로 확장합니다.
서비스는 이렇게 시작합니다
초기 연결과 검증 후, 필요한 범위만 월 단위 운영으로 이어갑니다
초기 파트너 구축
연결할 채널, 원본 데이터, 정산 기준, 검증 범위를 함께 정하고
첫 운영 레이어를 구축합니다.
이후 월 운영으로 전환
초기 검증이 끝나면 정산, 검토, 리포트 운영을
월 단위로 이어가고 필요한 범위를 조정합니다.
귀사 소개로 합류하는 브랜드가 생길 때마다, 특별한 혜택을 적립해 드립니다.
자세한 조건은 문의를 통해 안내드립니다.