Bank Reconciliation Tools for Microsoft Dynamics GP
|Time||1:30 pm — 2:15 pm PST|
Simplify your bank reconciliation process with Encore’s Account and Auto Reconciler tools
- Account Reconciler – reconcile your bank statement using the transactions that have posted to the checkbook’s general ledger account.
- Auto Reconciler – Import transactions from an external file source to automatically match bank transactions with Microsoft Dynamics GP checkbook transactions
• Manage large volumes of bank transactions
• Close your month quicker by reducing data entry and tedious month end tasks