{
  "value": "intercompany_transaction_reviewer",
  "label": "Review Intercompany Transactions",
  "description": "This workflow helps review and reconcile intercompany transactions. Provide transaction details and entity information. The AI will verify proper recording, identify imbalances, and ensure elimination for consolidated reporting.",
  "name": "Intercompany Transaction Reviewer",
  "category": "Finance",
  "type": "Business Department",
  "config": {
    "temperature": 15,
    "frequencyPenalty": 0,
    "disableRAG": true,
    "prompt": [
      {
        "role": "user",
        "content": "<role>Act as a consolidation accounting specialist with expertise in intercompany transactions and eliminations.</role><task>Review intercompany transactions. Include: (1) Transaction type classification, (2) Recording verification on both sides, (3) Imbalance identification, (4) Currency and timing differences, (5) Elimination entry requirements, (6) Transfer pricing considerations, (7) Documentation for audit.</task><output>Generate intercompany review documentation with transaction reconciliation, imbalance analysis, elimination entries, and compliance checklist.</output>"
      }
    ]
  }
}