Our Bank Account Reconciliation Add-on for Dynamics NAV makes a crucial part of business accounting and the financial management process more efficient, consolidated and error free.
Our solution makes it easy for companies to reconcile their bank statements with the corresponding financial data held in their Dynamics NAV system.
The Add-on ensures accounting and financial data from bank statements remains consistent with, and correlates directly to, data in a company’s internal financial database.
This allows companies to maintain exact, correlated financial data to show the full picture in monthly financial reports. In turn, this leads to quicker and more informed decision making at all levels within a company.
Users directly import electronic bank statements into NAV, using common file formats such as .CSV or XML. The imported statements are then reconciled against Bank Ledger entries in NAV to correlate the two data sources.
This makes it very straightforward to spot any discrepancies in the two sets of figures and to take appropriate follow-up action, informed with the correct information.
Your finance team are able to access a full set of correlated and consolidated financial management data at all times, giving them the information to perform their roles more efficiently and effectively.
Bank Reconciliation Add-on for Microsoft Dynamics NAV has not been reviewed by any customers.
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