New Snack Video Alert: Bank Reconciliations in Acumatica 2017 R2
Bank reconciliation is the practice of comparing your records against the bank records. A monthly reconciliation helps you identify any unusual transactions that might be caused by fraud or accounting errors.
Everyone knows bank Reconciliation can be a major struggle for companies of all sizes, especially when you are using an outdated or legacy system that doesn’t work the way you do.
Luckily for you and your company, Acumatica 2017 R2 makes it easy to reconcile, and make sure that you are always in balance.
Below, our president, Cliff Hall shows you how to do Bank Reconciliations with Acumatica 2017 R2 in our brand new “Snack Video” on the subject.