Bank Reconciliation
Adding value to your financial management system: a complete approach to maintaining your current bank position quickly and easily.
Cash controls
A powerful and flexible addition to your financial management function, Bank Reconciliation for SunSystems means you can identify, track and resolve non-reconciled items at a glance.
In fact, high levels of automation turn a monthly chore into an easy daily task: this product supports daily reconciliation, an important control over a critical business asset: cash. Implemented and integrated by
experts from Cocoon’s in-house team, this Companion Product means you can:
- Eliminate manual tasks
- Save time and frustration
- Improve data integrity
- Improve audit
Call +44 (0)1923 201999 for more details.
