Tuesday, 12 January 2016

Bank Automation Reconciliation and Investment Management

Bank Automation Reconciliation option enables you to upload an electronic version of a bank statement provided by our company. bank and ‘automatically’ reconcile it to your system bank using matching rules applied by the system. Where the system cannot match transactions. bank automation reconciliation will suggest several possible matches or allow you to create and post a matching transaction. Bank Automation Reconciliation option enables is a great way of reducing the manual effort in reconciling system bank accounts with our bank statements improving accuracy. Bank Automation Reconciliation andInvestment Management generic term that most commonly our company refers to the buying and selling within the Investment management. Investment management can also include costing and budgeting working.

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