We are considering implementation of one of these software package for bank recons with activity of approximately 2,000 transactions per day. What vendor did you ultimately select and why? We are interested in ease of set up and use as well as the flexibility to add other reconciliations, such as physical inventories, down the road without incurring additional set up fees.
Has anyone compared two or more of the high volume transaction reconciliation tools offered by Chesapeake, Trintech and Blackline?
Answers
Anon
Maybe look at Kyriba too-it does bank to book recon.
What
You might also consider Adra. At www.adra.com/accounts
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Cash Management