Bank Reconciliation
Our software provides ease of matching and comparing figures from your accounting records against those presented on a bank statement. Our process effeciently provides the balance of the accounting ledger to be reconciled with the balance of the bank statement and provides to tools to uncover any possible discrepancies.
Our Bank Reconcilliation is Integrated with General Ledger, Accounts Receivable, Sales Order, Accounts Payable, & Payroll.
Additional features include:
- Process all transactions for an unlimited number of banks.
- Reconcile Bank Accounts
- Track Deposits in Transit
- Clear Transactions in Bulk via Date or Check Number
- Unlimited Options for Sorting and Searching Transactions
- Process Wire Transfers
- Print Reconciliation Proof
- Gathers Cash Receipts from A/R into Separate Deposits
- Add Missing Entries On the Fly
- Print Non-Vendor Checks
- Tracks Separate Numbers for Handwritten and Computer Checks
- Add Entries Without Affecting G/L Balance
- Post ATM and Bank Fees
- Unlimited Bank Accounts
- Download your Bank Statement
- Full Integration with G/L and All Other Modules
|
|