Average Ratings 0 Ratings
Average Ratings 0 Ratings
Description
Bank Rec™ simplifies the process of reconciling bank accounts, transforming it from a tedious task into a quick and even enjoyable experience. By allowing your team to avoid the labor-intensive 'ticking and tying', it enhances productivity while ensuring accuracy. Each matched record is assigned an 'audit trail number', facilitating easy research and reporting. Any unmatched records are automatically carried over to the next period until they find a match. You can generate a reconciliation report even if there are discrepancies, as we provide journal entry recommendations to correct imbalances. Our extensive bank reconciliation report library offers additional reporting options to suit your needs. This tool transforms what was once a solitary task into a documented and consistent procedure, providing backup for personnel and operational processes. It seamlessly integrates with any file format from your banking or accounting software, including Excel, CSV, and BAI. Users can apply our predefined matching rules or customize their own to suit their specific requirements. Exception reports will highlight mismatches, streamlining the research process and allowing teams to concentrate on high-priority discrepancies. Thus, Bank Rec™ not only enhances efficiency but also promotes a collaborative and transparent approach to financial reconciliation.
Description
SaleLedger is a software application designed for auction houses and estate-sale businesses that helps manage and reconcile consignor trust accounts effectively. It facilitates a three-way reconciliation process by comparing auction settlement exports, QuickBooks payout exports, and trust-account bank statements to ensure accuracy among the adjusted bank balance, trust control balance, and the total of the consignor subledger. The software diligently identifies any unmatched deposits, payout discrepancies, unexplained transfers, bank fees, and stale funds for consignors, allowing users to conduct a thorough review. Additionally, it generates detailed reconciliation reports and maintains a check register with historical data for the local period. All consignor and bank information is processed directly on the user's local computer, ensuring privacy and security. Users can take advantage of a 30-day free trial without any fees during this period, after which the subscription fee is set at $129 per month. This software is an essential tool for maintaining financial accuracy and transparency in auction-related transactions.
API Access
Has API
No
API Access
Has API
No
Screenshots View All
No images available
Integrations
Microsoft 365
No
Microsoft Excel
No
Microsoft Outlook
No
Pricing Details
$199.95 per month
Free Trial
Yes
Free Version
No
Pricing Details
$129/month; 30-day free trial
Free Trial
Yes
Free Version
No
Deployment
Web-Based
No
On-Premises
No
iPhone App
No
iPad App
No
Android App
No
Windows
Yes
Mac
No
Linux
No
Chromebook
No
Deployment
Web-Based
No
On-Premises
No
iPhone App
No
iPad App
No
Android App
No
Windows
Yes
Mac
No
Linux
No
Chromebook
No
Customer Support
Business Hours
Yes
Live Rep (24/7)
No
Online Support
Yes
Customer Support
Business Hours
No
Live Rep (24/7)
No
Online Support
Yes
Types of Training
Training Docs
Yes
Webinars
No
Live Training (Online)
Yes
In Person
Yes
Types of Training
Training Docs
Yes
Webinars
No
Live Training (Online)
No
In Person
No
Vendor Details
Company Name
Treasury Software
Country
United States
Website
www.treasurysoftware.com/bank-reconciliation/bank-reconciliation.aspx
Vendor Details
Company Name
Profitpin LLC
Founded
2026
Country
United States
Website
getsaleledger.com
Product Features
Product Features
Trust Accounting
Accrual Accounting
No
Activity Tracking
No
Asset Gain & Loss Reporting
No
Check Writing
No
Compliance Management
No
Cross Ledger Posting
No
Customer Statements
No
Fee Calculation & Posting
No
Receipt Management
No
Tax Management
No
Alternatives
Alternatives
No Alternatives