|
|
|
|
|
With AccountMate 7.0 for LAN's Bank Reconciliation, reconciling bank accounts is a breeze--it allows you to record disbursements, receipts and bank transfers not recorded through other AccountMate modules. It can also indicate which receipts, disbursements and transfers have cleared your banks; and then reconcile your book entries to your bank statements. You can set up and amend bank accounts, and define the currency in which transactions will be shown for each bank account.
Other applications in this product line: |
|||||||||||||||||
|
|||||
|