Automated contract auditing. Built for enterprise scale.
Move past manual line-by-line contract reading. Caleto Review combines rule-based playbooks, deep side-by-side diffing, and bulk extraction engines into a single platform, giving your legal team the power to analyze portfolios, run diagnostics, and mitigate transaction risks instantly.

Codify your organization's legal positions
Eliminate variance in contract compliance. Caleto Playbooks permanently codify your firm or legal department's strict positions directly by document type.
The system deploys a dedicated review agent that grades incoming agreements against your explicit, predefined parameters. It isolates deviations and highlights non-compliant risk metrics automatically, operating strictly under your custom guardrails so it never flags noisy false positives.


Rigorous, multi-layered split-screen diffing
Drop conflicting legal documents into a clean, side-by-side ingestion terminal. Caleto maps your "Original Document" directly against the "Modified Document" to calculate changes instantly.
Beyond simple word-matching redlines, the analytical engine interprets semantic shifts in text logic, ensuring your team catches hidden adjustments to indemnification thresholds, timeline extensions, or altered liabilities before signing.
Process up to 50 documents across 10 dimensions simultaneously
Scale your contract discovery past traditional constraints. Designed specifically for massive transaction deal-rooms and portfolio audits, Multi-Doc Analysis lets you batch-upload up to 50 assets simultaneously.
Query the entire batch across 10 distinct inquiries at once, such as extracting termination notice periods or change-of-control conditions, and receive structured answers backed by definitive, verifiable source citations.

Transform unstructured contracts into organized database assets
Contracts are highly complex databases locked in text blocks. Caleto Tabular Reviews extract unstructured data out of raw files and map them cleanly into searchable, relational tables.
Manage, filter, and audit ongoing extractions from a centralized ledger, assigning columns and rows to specific cross-functional Projects or tracking standalone assets with absolute clarity.

