Gain better control over your reconciliation process — and increase accuracy and security in the process.
Details
- Ideal for businesses handling and issuing a large number of checks
- Improve audit control
- Streamlines back room functions, reduces costs
- Maintain up-to-date records
- Receive monthly reports; downloadable data files customized to meet your business needs
- Audit control over funds collection and disbursement:
- Cleared Checks
- Deposits Only
- Issued Checks Not Cleared
- Other Items posted
- Catch errors early; increased accuracy
- Maintain internal controls
- Expedites record checks