The Bank Reconciliation that can’t be cheated!
Reconcile an unlimited number of cash accounts. First you mark the cleared checks and deposits so you and the bank agree. Then, the system cross checks against the Book Balance and the General Ledger account balance. When everything agrees, you are reconciled.
- Easily reconcile cash accounts with bank statements
- Reconcile trust account balances with both client/matter ledgers and bank statements
- Sort items by date, amount or check/reference number
- Automatically generate reports detailing cleared or uncleared items
- Security allows users to reconcile reports without granting access to change data or breach confidentiality