easyReconciler
easyReconciler is designed to improve every aspect of the bank reconciliation process. The software will import any bank's downloadable reconciliation file and place its data side-by-side with the records from your Sage Fund Accounting (formerly Sage MIP Fund Accounting) database. You can then use the auto-reconcile feature and the software will automatically reconcile the bulk of your checks, deposits, and adjustments! The remaining transactions are easily reconciled within the software. Once you reconciliation is complete, simply click the save button and your accounting database is updated. No importing needed!
Program benefits
easyReconciler greatly speeds up any reconciliation while decreasing errors and user aggravation. It also ensures that your MIP database stores the actual cleared date, as opposed to the end-of-month reconciliation date. This allows you to easily look up how long it takes any vendor to clear your checks.
Screenshots
Product Tip - Using easyReconciler in combination with Vendor Vision will allow anyone at your organization to quickly look up the exact date any vendor's check cleared the bank!
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