Join us as we share the journey from tedious and time consuming manual reconciliations to an improved experience with Account Reconciliation, which helps automatically find discrepancies.
Learn how you can reduce time for the most significant, time-consuming (and boring!) step in closing our books and verifying that the data ties. Does the total from the AP sub-ledger equal the Accounts Payable line in the GL?
Does the journal entry detail match the account balances? And, does the General Ledger align with what’s in HFM? Oracle Account Reconciliation was the answer!
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