Bank account reconciliation

Thursday 7th July 2016 at 12:00pm - 1:00pm

Dial In Webinar

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Are you automating bank statement functionality in your system?  Would you like to better understand the functions and features of bank statements?   Are you struggling to understand when to implement different types of reconciliation functionality based on IT availability and want ideas on how to approach the work?

Key Takeaways:
Transaction choices typically used when reconciling bank accounts in your system
How to choose the appropriate transactions for your business needs
Functions and features for electronic bank statements
Enhancement pack 7 bank statement features 

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