Professional Advantage Infor FMS SunSystems Products

 

Cash Desk: 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 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).

 

Benefits

 

  • Eliminates manual tasks

  • Improves data integrity

  • Automation can make a monthly task become a daily task

  • Improved auditability

  • Saves time and frustration

Bank Reconciliation screenshot