Have a hold over your accounting records with Account Reconciliation application
Account Reconciliation is one challenge organizations have to undergo at least once every month. It is a process that uses two sets of records and matches the balances in an entity’s accounting records. The aim is to ensure figures are accurate and in accord.
At DSMCLOUD, our solutions have made easier to assure whether the money leaving an account matches the amount that’s been spent, and make sure the two are balanced by automating and standardizing the entire reconciliation process for a confident close and balance sheet accuracy.