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Traverse Bank Reconciliation
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Keep Tight Control Over Your Company's Cash; Manage Capital Wisely

 
TRAVERSE® Bank Reconciliation application helps you streamline and improve the reconciliation of bank statements with general ledger bank accounts. It makes important updates to TRAVERSE General Ledger and receives timely entries from the other applications.

You'll know which checks have cleared, which transactions are outstanding, which bank accounts contain what amounts, and exactly where your money is. Find errors and record differences between your books and the bank easily with two types of reconciliation from the Reconciliation Report -- book-to-bank and bank-to-book. Reconciling is fast and simple. You can clear transactions with a single mouse click -- line by line by a specific range of checks or all at once. If you make a mistake, reversing a selection is just as easy. You need to make the best decisions about day-to-day operations of your business. TRAVERSE Bank Reconciliation gives you the accurate information you need to make the most of your cash. Using multiple bank accounts for Accounts Receivable/Sales Order deposits and Accounts Payable/Purchase Order checks gives you the flexibility to receive money to and disburse money from different accounts. You can also keep your cash in interest-bearing accounts as long as possible with interaccount transfers and manual adjustments.

Bank Reconciliation gives you the ability to eliminate errors and control cash outflow with the Void Checks and Stop Payments function. All voided Accounts Payable transactions are completely reversed. You'll save time during transaction entry by entering your recurring adjustments only once; these include finance charges, service charges, and interest income. You'll also have faster data entry because you'll have the flexibility to define your own default descriptions and references.

Additional Bank Reconciliation Features:
bulletunlimited number of bank accounts with the Bank Accounts screen
bulletaccount balance automatically displayed from the general ledger account if Bank Reconciliation is interfaced with GL
bulletlast statement balance and statement date updated when reconciled
bulletenter recurring adjustments (finance charges and service charges to your bank accounts)
bulletenter a transaction in any currency if the multicurrency option is on
bulletvoid a check before it is sent or stop the payment of a check before it is cashed
bulletvoid any check after it has been posted
bulletstop the payment of any check, even if it was posted from an interfaced application
bulletpurge a cleared transaction by bank account ID and by transaction date
bulletreview total debits and credits posted to GL for each period in Post Transactions Log
bulletability to view account number, description, contact information, and statement through the Bank Accounts List
bulletprint journal to check for errors and omissions
bulletmaintain an accurate audit trail
bulletreports that list the cleared transactions, outstanding transactions, and bank-to-book and book-to-bank reconciliation information
bulletBank Reconciliation Journal
bulletReconciliation Report
bulletBank Account Register
bulletBank Accounts List
bulletRecurring Adjustments List

 

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