Bank Reconciliation from Professional Advantage delivers a one step statement upload that saves your organisation time, allowing you to reconcile your bank account(s) on daily basis or as desired. This highly automated process allows you to identify, track and resolve non-reconciled items at a glance, even across multiple accounts, without the need to convert to a journal file.
You’ll be able to better manage your most important asset, cash in the bank, with Bank Reconciliation providing daily verification alongside assistance with the prevention and early detection of fraud. Automating the process saves time, reduces risk and improves accuracy.
Benefit from automation with statements imported electronically, automatic detection of bank statements and automatic generation of bank debits, standing charges or fees.
What to expect from Bank Reconciliation
One Stop Shop
Manage all your reconciliation requirements in one place
Exclusively built to integrate with Infor SunSystems
Accurate and fast automatic matching reducing time spent manually matching data and fixing mismatched transactions
Fully mobile platform accessible across any device - mobile, tablet, desktop and laptop
With removal or reduction of repetitive admin tasks, like re-keying, and focus staff on more effective work
With early detection monitoring as standard
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