Nolan Automated Bank Reconciliation
by NOLAN BUSINESS SOLUTIONS PLC
Automated bank reconciliation and transaction matching for Microsoft Dynamics 365 Business Central
Avoid the tedium of manually reconciling bank statements and credit cards in a few simple steps with Nolan Automated Bank Reconciliation for Microsoft Dynamics 365 Business Central.
Long-standing and highly sought after in the Microsoft GP community, Nolan Business Solutions’ Automated Bank Reconciliation streamlines the reconciliation process and delivers more accurate matching of results through the utilisation of flexible auto-matching rules, transaction grouping, amount tolerance, and auto-post to Bank Ledger.
Like its accompanying application Nolan Bank Feeds, which allows the importing of bank statements directly into Microsoft Dynamics 365 Business Central with minimal user intervention, Nolan Automated Bank Reconciliation supports payment gateways and credit cards and offers out-of-the-box inquiry and reporting capabilities.
Key features:
Flexibility
Create reconciliation rules that 'teach' the system how to read your bank statements and match transactions to the general ledgerReporting capabilities
Full reporting capabilities give confidence that your reconciliation process is being handled correctlyAutomatic matching
Automatic transaction matching ensures an accurate and in-depth audit trail is created
Transactions side-by-side
View your ERP Bank Ledger and bank statement transactions side-by-sideInternational bank statements
Easily configured for all international bank statement formats.Consolidate Bank Ledger transactions
Consolidate Bank Ledger transactions based on date, reference, amount and/or cheque number
Key benefits:
Speed up your month-end - with user-definable matching and grouping rules, tailored to produce the most accurate results, you can speed up your month-end from hours or even days to just minutes.
Save your finance team time -with month end only taking a matter of minutes your finance team can now focus their attention on other important tasks meaning no more delays in work
Accurate cash position enables better decisions - as soon as the reconciliation is complete, you can have an up-to-date overview of all your accounts, and you can make decisions based on real-time information.
Ideal for companies with:
High transaction volumes
Multiple bank accounts
Multiple General Ledger cash accounts
Multi-location and multi-national companies
Supported Editions:
Nolan Auto Bank Rec supports both the Essential and Premium editions of Microsoft Dynamics 365 Business Central.