

Workflow
Sound familiar?
Every transaction gets recorded somewhere. Finance still has to get it into the books.

Manual Re-Entry Creates Errors at Every Step
When transactional data doesn’t flow automatically from your CRM to MIP, someone has to move it by hand. Every manual step is an opportunity for error, and every error that reaches your general ledger becomes a reconciliation problem your finance team has to untangle later.

Misclassified Revenue Puts Intent at Risk
Every transaction carries meaning in your CRM. But when coding doesn’t match MIP’s chart of accounts and fund code structure, gifts, grants, tuition payments, and program revenue can land in the wrong account. Without that translation, restricted funds get misclassified and the intent behind them doesn’t make it to the ledger the way it should.

Development and Finance Work From Different Numbers
Your development team reports one number. Your finance team closes with another. When gift data moves manually between your CRM and MIP, small discrepancies compound over time until month-end reconciliation becomes a trust problem.

Manual Posting Increases the Risk of a Compliance Gap
Manual financial posting often means data entry or spreadsheet cleanup between systems. Each manual step is an opportunity for an error that surfaces later as an audit finding instead of being caught in the moment.


Integration
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Helping You Make the Most of Your MIP Fund Accounting Data
Close the Gap That Creates Audit Exposure
When revenue data flows from your CRM to MIP automatically, your general ledger reflects exactly what development recorded. Instead of creating a discrepancy, your team has a clean, consistent record from data entry to posted transaction.
Protect Donor Intent With Every Posted Gift
When designations and campaigns map accurately to MIP’s fund and account code structure, restricted gifts land in the right fund instead of putting donor intent at risk. That means honoring the right restriction instead of putting compliance in jeopardy.
Turn Month-End Close Into a Faster, Cleaner Process
When transactional data from your CRM posts to MIP accurately and on schedule, your finance team isn’t untangling discrepancies before they can close. That means less time spent on reconciliation and more confidence in the numbers when it matters most.
Everything Arrives Coded and Complete
Every transaction that reaches your accounting system needs the right restriction and general ledger coding attached to it. When that coding travels automatically from your CRM, your finance team doesn’t spend time chasing down missing information or correcting entries after the fact.
Walk Into Every Audit With a Clean Baseline
When financial data is accurate from the moment it posts, your organization reduces the risk of restatements, corrections, or findings tied to reconciliation errors. That means less time explaining discrepancies and more time demonstrating good stewardship.
Give Every Stakeholder One Trustworthy Set of Numbers
Revenue data should tell the same story in your CRM and MIP. When your CRM and finance systems consistently reflect the same numbers, board members, funders, and donors can trust what they’re seeing is what’s actually happening.
Trusted by 3,000+ organizations. 20+ years. Built exclusively for nonprofits.
Capabilities

Flexible Field Mapping
Designations, campaigns, and fund codes all need to map accurately to MIP’s chart of accounts and fund structure. Omatic Cloud applies that mapping automatically, so every transaction carries the right account codes and your fund tracking stays reliable.

Data Transformation
Gift and batch data doesn’t always arrive in the format MIP expects. Omatic Cloud standardizes values, applies your organization’s fund and account logic, and formats data for MIP so it lands ready to use.

Routing & Data Validation
Gift and batch data doesn’t always arrive in MIP ready to post. Omatic Cloud validates incoming records, flags exceptions, and routes clean data automatically so your general ledger stays accurate and reconciliation stays straightforward.

Compliance Attestations
Transactional data moving between systems needs to meet the same standard of scrutiny your organization holds itself to. Omatic Cloud’s security and compliance certifications mean your finance team and auditors can trust the integration as much as the data it moves.
Ensure Your Data Gets Where It Needs to Go. The Right Way. Every Time.

In 30 minutes, we will show you exactly how Omatic Cloud adapts to your workflows.
FAQs
Omatic Cloud connects your CRM, Raiser’s Edge NXT, Salesforce, Virtuous, and others, to MIP automatically, mapping gift and transaction data to the right accounts, funds, and grant designations in your MIP chart of accounts. No manual file exports or spreadsheet manipulation required.
Yes. Omatic Cloud lets you define exactly how designations, campaigns, and fund codes from your CRM map to MIP’s fund and account code structure, including restricted and unrestricted funds. Every transaction lands in the right place so your fund accounting stays accurate and audit-ready.
Yes. Every transaction Omatic Cloud processes is logged with a complete record of its journey from source record to posted entry. That documentation gives your finance team clear, traceable answers when auditors ask how numbers moved between systems.
Native integrations are a solid starting point for basic financial posting, but they often move data from point A to point B without preserving batch structure, fund mapping, or the validation nonprofits need for audit-ready reporting. Omatic Cloud goes further: it matches records to prevent duplicates, transforms data into the format MIP expects, and gives your team control over exactly how much is automated versus flagged for review. The result is a connection built for the compliance and trust nonprofits are held to, not a generic sync.



