Automated Bank Reconciliation for Microsoft Dynamics 365 Business Central, NetSuite, and Dynamics GP
ฝัง
- เผยแพร่เมื่อ 26 ธ.ค. 2024
- Automate your bank data import with direct integration into Microsoft Dynamics 365 Business Central
Nolan Bank Feeds allows you to link and automatically download your banking activity from your financial institution(s) directly into your Microsoft Dynamics 365 Business Central Bank Account Reconciliation module.
Key features and benefits include:
• Elimination of the manual bank statement download process, allowing your accounting team to focus on the more important day to day tasks.
• Supports multiple banks and multiple bank accounts, worldwide.
• Automatic statement downloads, allowing a daily cash reconciliation and an up-to-date GL cash position.
• Reduction of the time needed at month-end to close your books.
Ideal for companies with:
• High transaction volumes
• Multiple bank accounts
• Multiple General Ledger cash accounts
• Multi-location and multi-national companies