Change Log

27

August

2024

Reconcile Intercompany Loan Accounts

Our new reconciliation tool allows you to reconcile your intercompany loan accounts with ease. It helps identify asymmetrical transactions and ensures accurate financial records across entities.

  • Manually reconcile transactions with ease, identifying asymmetrical postings across your accounts.
  • Eliminate the need for GL downloads for side-by-side comparison, streamlining your workflow and saving time.
  • Identify any necessary FX adjustments that need posting, ensuring accurate financial record