Automate Bank Reconciliations
Manual methods prove inefficient when reconciling bank transactions across multiple banks and accounts with a high transaction volume. Bank reconciliation should be a smooth experience, not a chore.
Wave goodbye to manual reconciliations and hello to more time for growth-focused activities.
Minimize errors by implementing automatic reconciliation of entries according to predetermined schedules and times.
Minimize errors by implementing automatic reconciliation of entries according to predetermined schedules and times.
Effectively oversee a multitude of banks and currencies with the system's capacity to accommodate numerous number of bank accounts and various currency types
Effectively oversee a multitude of banks and currencies with the system's capacity to accommodate numerous number of bank accounts and various currency types
befree BankRecoStar is a web-based solution, facilitates the reconciliation process between Bank Books originating from various ERP systems and bank statements issued by different banks. This system performs a thorough comparison of data from general ledger files and bank statement reports, automatically matching them and accommodating adjustments for concealed transactions like bank charges or fees.
befree BankRecoStar seamlessly integrates with Xero, Quick books and MYOB, ensuring your financial records are always accurate and up-to-date.