Average Ratings 0 Ratings
Average Ratings 0 Ratings
Description
Accountflow serves as a comprehensive platform for reconciling financial statements, streamlining accounting tasks into a single, easy-to-navigate system. This solution connects with major banks, ERP systems, and financial platforms, allowing accountants to access precise data, spot inconsistencies, document their work, and oversee multiple enterprises all in one location. With automated templates available for various functions such as bank reconciliation, payroll, VAT, general ledger, fixed assets, and accruals, teams can minimize manual effort while enhancing data integrity and oversight during period closings. Transactions from banks can be pulled and reconciled without manual input, VAT balances can be scrutinized for errors, and general ledger entries can be consistently monitored, complete with attached documentation and comments for clarity. The tools for managing fixed assets accommodate categories, registers, transactions, value assessments, and depreciation calculations, while workflows for accruals offer insights into prepaid income and expenses, ensuring they are reconciled automatically. Additionally, the platform's user-friendly interface and robust features significantly improve collaboration among team members, leading to more efficient financial processes overall.
Description
To initiate a reconciliation, one should start by examining the closing balance of the General Ledger in comparison to the sub-ledger or other pertinent documents, which may include bank statements or third-party records. Any discrepancies identified between these sources must be thoroughly investigated, measured, and resolved whenever feasible by making the necessary adjusting entries in either the general ledger or sub-ledger. It is also essential to document any anomalies as reconciling items to maintain transparency throughout the process. Ultimately, the balances should align perfectly and be substantiated with all accompanying documentation linked to the reconciliation. The review process is crucial for confirming the completeness of the reconciliation, and incorporating an additional approval layer can enhance confidence in its accuracy. Moreover, establishing a robust framework along with a standardized process can significantly streamline and enhance the efficiency of the reconciliation process at the end of each month. This not only fosters consistency but also aids in identifying potential issues much earlier in the cycle.
API Access
Has API
No
API Access
Has API
No
Integrations
Finago Procountor
Yes
PowerOffice
Yes
Tripletex
Yes
Visma Nova
Yes
Xledger
Yes
Integrations
Finago Procountor
No
PowerOffice
No
Tripletex
No
Visma Nova
No
Xledger
No
Pricing Details
No price information available.
Free Trial
No
Free Version
No
Pricing Details
No price information available.
Free Trial
No
Free Version
No
Deployment
Web-Based
Yes
On-Premises
No
iPhone App
No
iPad App
No
Android App
No
Windows
No
Mac
No
Linux
No
Chromebook
No
Deployment
Web-Based
Yes
On-Premises
No
iPhone App
No
iPad App
No
Android App
No
Windows
Yes
Mac
No
Linux
No
Chromebook
No
Customer Support
Business Hours
No
Live Rep (24/7)
No
Online Support
Yes
Customer Support
Business Hours
Yes
Live Rep (24/7)
No
Online Support
Yes
Types of Training
Training Docs
Yes
Webinars
No
Live Training (Online)
Yes
In Person
No
Types of Training
Training Docs
Yes
Webinars
No
Live Training (Online)
No
In Person
No
Vendor Details
Company Name
Accountflow
Founded
2018
Country
Norway
Website
www.accountflow.no/
Vendor Details
Company Name
RecWise
Founded
2017
Country
Australia
Website
www.recwise.com
Product Features
Product Features
Audit
Alerts / Notifications
No
Audit Planning
No
Compliance Management
Yes
Dashboard
Yes
Exceptions Management
Yes
Forms Management
No
Issue Management
No
Mobile Access
No
Multi-Year Planning
No
Risk Assessment
Yes
Workflow Management
Yes