With Bank Reconciliation for Infor SunSystems you can gain automatic entry and allocation of bank transactions and reports on un-reconciled items.
You define matching criteria, and Bank Reconciliation will attempt to match deposits and checks, whether statements were loaded electronically or manually.
You get support for single and multi-currency ledgers and the ability to view previous statements and extended statement descriptions.
Plus, you can have the system automatically create transactions, such as bank fees and interest, so you can focus on higher-value tasks.
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