Tuesday, 13th December 2022
2:00 PM – 3:00 PM AEDT
Managing and completing account reconciliations can be daunting due to the number of data sources and the volume of reconciliations that need to be completed. So many organisations are simply constrained with outdated point solutions and fragmented spreadsheets that add risk, cost and complexity to their account reconciliation and financial close processes, including manual transaction matching.
During this 1 hour webinar, we will show you how to conquer these complexities and align your account reconciliations with your financial reporting to reduce errors as well as speed up the financial close process. Join us to hear how you can begin working on Account reconciliations in hours – not days or weeks, reconcile what you report and drill to reconciliations directly from financial reports with our single source platform for all GL trial balances.
Thank you for registering!