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Bank Recon
- Automated cash reconciliation with fuzzy recon logic
- Exception management workflow
- Automate cashbook & bank transaction imports
- Strong accounting control and GL integration
Highlights
- Segregate multiple business units on a single application
- Automate cash transaction import from business systems through non-intrusive data import – MS SQL, Oracle, OBDC
- Automate bank statement imports. Supports over 30 different bank statement formats
- Business systems can initiate transactions and processes against BankRecon’s web service API
- Configure reconciliation rules for automated transaction reconciliation
- Manually reconcile unmatched transactions
- Tag transactions for follow-up and retrieval
- Manage Accounting periods
- Configure journal creation rules
- Automate general ledger exports to your accounting system
- Host customizable SSRS reports
- Process scheduler for process element configuration and schedule setup