Bank Reconciliation for SunSystems
Bank Reconciliation for SunSystems provides a complete system
for easily maintaining your current bank position. It is a flexible
and powerful addition to your organisations 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).
Download
Now