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Home  >  Software  > Additional Modules  > Bank Reconciliation

Bank Reconciliation

Overview

Bank Reconciliation for Infor FMS SunSystems provides a complete system for easily maintaining your current bank position. It is a flexible and powerful addition to your organisation's financial management, allowing you to identify, track and resolve non-reconciled items at a glance. This highly automated process facilitates daily reconciliation, an important control over the business' most important asset - cash. Bank Reconciliation provides for the import of electronic statements for multiple bank accounts, automated user defined matching criteria and creation of bank generated journals (e.g. bank fees, interest).

Benefits
  1. Eliminates manual tasks
  2. Improves data integrity
  3. Automation can make a monthly task a daily task
  4. Improved auditability
  5. Saves time and frustration

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