Designed for independent and firm-based auditors

The auditor's window into
client financials

Access the latest synced client data, drill into every transaction, and verify asset and liability positions — all without chasing PDF exports. Vizii gives auditors a clear, traceable view of the numbers.

Synced
Data — no stale exports
Full
Transaction drill-down
Multi-client
Access from one login
Read-only
Viewer role by default

Built for rigorous financial review

Vizii gives auditors traceable, read-only access to client data — so you can form your opinion with more confidence.

Access multiple clients from one login

Connect to all your client entities in a single Vizii workspace. Switch between Xero organisations instantly without juggling credentials or browser tabs.

Drill into every transaction

Click through from any balance to the underlying journal lines, invoices, bills, or bank transactions. Full audit trail from summary to source.

Asset and liability accounts with conversion balance support

Opening balances, conversion-date adjustments, and prepaid account entries are handled correctly — so the asset and liability positions you're reviewing reflect the source records.

Compare periods side by side

Flexible date-range controls let you analyse any custom period — month, quarter, year, or conversion date through today. Spot trends and anomalies at a glance.

Read-only access — your clients stay in control

Auditors get the viewer role by default. You see everything you need to form an opinion; the client retains full control over their data and connections.

Reduce time spent pulling reports

Every report you'd normally export from Xero is prebuilt in Vizii and refreshed when you select Sync. Less time preparing workpapers, more time forming conclusions.

Common audit scenarios — handled

From year-end statutory work to multi-entity engagements, Vizii covers the cases you encounter every engagement.

Year-end statutory audit

Verify asset and liability completeness, trace large transactions, and check them against the underlying invoice and bill records — all without requesting exports from the client.

Payment and receipt review

Analyse AREC and ACCPAY movements, identify payment timing patterns, and validate bank transaction matching against journal entries.

Multi-entity engagements

Review each permitted entity in turn, with its own transactions and entity-level sales and purchases reachable from one login.

Conversion balance verification

Verify manually entered conversion balances against source records. Asset and liability opening positions displayed transparently with full traceability.

What auditors get with Vizii

Everything you need to audit client financials with confidence. Start your 7-day free trial today.

  • Multi-client access from a single login
  • Full drill-down: summary → journal line → source
  • Asset and liability accounts with conversion & opening balances
  • Flexible custom date ranges for any audit period
  • Read-only viewer role — client data stays protected
  • On-demand Sync — no emailed exports to chase
  • Activity audit log for every action in the workspace

Start auditing with confidence

Invite your clients to Vizii or connect directly to their accounting platform — and get to the numbers faster.