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Microsoft Dynamics 365 & Dynamics AX

Cash & Bank Automation

Fully un-attended solutions designed to help you save time & money

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Beginning with efficiency and accuracy in mind, we’ve developed top-quality electronic bank reconciliation functionality, a key strength of our Treasury Automation Suite for Microsoft Dynamics 365 Finance and Operations.

A critical function of finance, corporate treasury and banking operations is reconciliation. Whether your organization deals with a short list of banks or over hundreds of bank accounts, having the ability to automate cash management with the added benefit of visibility over those bank accounts, is a must.

Our Cash & Bank Automation Function Lets You…

  • Automatically import bank statements
  • Reconcile bank statements with a solution that runs fully-unattended
  • Fine tune matching and mapping with configurable rules
  • Gain visibility across all bank accounts and legal entities
  • Automatically create reconciling transactions

Automate the bank reconciliation process in Microsoft Dynamics 365 Finance and Operations

As a user of Microsoft Dynamics 365 Finance and Operations, you are more than familiar with the cringe-worthy and headache-inducing scenario when it comes to the bank reconciliation process.

Ensuring that your bank and ledgers are balanced can be onerous at best. This applies no matter how few or many accounts you have. Finding a discrepancy manually can be an undertaking that moves at a snail’s pace.

Investigating hundreds or thousands of transactions by hand is also costly. For companies with multiple bank accounts and many transactions, this easily adds up to a significant expense.

SK Global’s bank reconciliation software is a part of our Treasury Automation Suite. It can substantially help speed up the time and lower the cost of this process.

Automatic reconciliation

Our reconciliation software runs continuously in the background, so matches and discrepancies are constantly found. No more waiting until the end of the period to suddenly discover how many transactions will have to be manually investigated.

Because SK Global’s software is automatic, your bank balances are always current. Your CFO will have a real-time overview of actual cash availability across all bank accounts, helping to make more informed financial decisions.

Reduced number of errors

Our bank reconciliation software significantly reduces the number of manual human errors, which will help you save even more money. Even with the exceptions that are found, our software gives you a detailed overview, so you can pinpoint the exact issue at hand.

SK Global’s software is compatible with Microsoft Dynamics 365 Finance and Operations, Microsoft Dynamics AX 2012 and Microsoft Dynamics AX 2009. It integrates seamlessly and directly with your bank accounts. Adding or changing your bank accounts is easy, no matter where they are based globally.

Security

Because our solution communicates in a closed loop between your Microsoft Dynamics 365 Finance and Operations and your bank accounts, all of your information is secure. Unlike other solutions, SK Global’s Bank Reconciliation Software does not release your sensitive banking information into a cloud. Sensitive company information is kept in logs, further avoiding the need to upload or download confidential data.

To learn more about our Cash & Bank Automation, you can schedule a demonstration with us. SK Global’s bank reconciliation software is a key strength of our Treasury Automation Suite for Microsoft Dynamics 365 Finance and Operations.

Questions? Don’t hesitate to ask us!



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Easing the pain of managing cash and bank processes … for everyone.

Our electronic bank reconciliation feature lets you maintain control, reduce error and oversee key functions, while improving your efficiency.

Administrators - Our electronic bank reconciliation feature lets you maintain control, reduce error and oversee key functions, while improving your efficiency.
Administrators
Full multi-account support, no matter how many banks
Exact match, auto-reconcile and match overrides
Configurable matching and mapping rules
Click-n-Match Workbench allows you to control matching manually when you want
Parsing rules allow for extracting ANY data from your bank file
Full integration with Microsoft Dynamics 365 Finance and Operations, Microsoft Dynamics AX 2012 and Microsoft Dynamics AX 2009, with familiar screens

Gain increased confidence over this key banking process. Benefit from better visibility over all of your bank accounts and see status updates on your own time.

Controllers - Gain increased confidence over this key banking process. Benefit from better visibility over all of your bank accounts and see status updates on your own time.
Controllers
Bank statements can be automatically imported, created in AX and reconciled, reducing data-entry errors.
Enterprise-wide statement history across all companies & accounts in one dashboard.
Preliminary matching across all companies and accounts, separate from reconciliation.

Fully integrated with Microsoft Dynamics 365 Finance and Operations, Microsoft Dynamics AX 2012 and Microsoft Dynamics AX 2009.

Resources
Webinar – Cash Management Automation
15 Reasons for Automatic Bank Reconciliation in Microsoft Dynamics AX
AP Electronic Funds Transfer

 

Phone Numbers

US, (+1) 301 963 7300
EU, (+45) 22 88 00 00

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SK Global Software

  • Dynamics 365/AX
    • Treasury Automation Suite
      • Cash & Bank Automation
      • Vendor Payment Automation
      • Customer Payment Automation
      • Direct Debit Automation
      • FX Settlement Automation
      • Risk Management
      • Online Bill Presentment & Credit Card Processing
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    • Direct Debit Automation
    • Online Bill Presentment & Credit Card Processing
      • Online Bill Presentment + Credit Card Processing
      • Credit Card Preauthorization and Processing
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      • Features
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    • Banking Automation Suite
      • Vendor Payment Automation
      • Bank Reconciliation
      • Bank Communications Hub
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    • Treasury Connect Solutions
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      • FX All integration
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