Your question is Validate Financial Data Pipelines. Take a moment with it on the right.
Talk me through your thinking if you like. When you're confident, submit your answer and I'll grade it like a real screen (7/10 or better passes).
You are working on a finance reporting pipeline that pulls data from multiple source systems before it lands in a reporting layer. The reports are used for month-end close, budget tracking, and leadership review, so bad inputs can create rework and incorrect numbers. You need a repeatable way to check the data before it is published.
What is your process for validating financial data from multiple systems before you use it in a report?