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Home > Products > FundWare: Bank Reconciliation |
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FundWare Product Tour: Bank Reconciliation Kintera FundWare Bank Reconciliation delivers full reconciliation capability to nonprofit organizations and government agencies within the public sector. It improves productivity while increasing overall accuracy by expediting the time required to reconcile an organizationŐs bank statements. Its seamless integration with all modules within Kintera FundWare Pro Edition and Kintera FundWare Enterprise Edition makes it a valuable asset to both product suites. Check and deposit information entered into other Kintera FundWare modules, such as Accounts Payable, Payroll, Cash Receipts, and General Ledger, is easily pulled into Bank Reconciliation. Once reconciliation is completed, updated information is automatically posted back to the original modules. Kintera FundWare Bank Reconciliation saves you time and energy with its superior functionality. Sample screenshot (click for larger view): ![]() Next feature: General Ledger Report Manager |
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Software Systems, Inc. Fund Accounting and Utility Billing Software for Local Governments and Non-Profits |
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