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Description
This solution offers a thorough approach to reconciling multiple sources with various destinations, adhering to business-defined rules to highlight discrepancies in reports and outline necessary actions. As an adaptable system, it caters to diverse business reconciliation requirements such as Nostro & Vostro accounts, card transactions, SADAD, and cheques. Seamlessly integrated with the core system and other data sources, it efficiently gathers information for reconciliation purposes. The system comprises several modules, including account management, data management, reconciliation oversight, transaction tracking, reporting, and a workflow engine. Additionally, BanKCube™ delivers a range of financial solutions and security systems that encompass transaction banking for trade finance and cash management, along with workflow management, data security, dynamic data masking, bank reporting capabilities, reconciliation processes, and real-estate services. Ultimately, these solutions are built on a secure web-based platform designed according to premier development standards, ensuring both reliability and efficiency. This comprehensive suite not only addresses current needs but also adapts to future business challenges.
Description
Relying on manual methods for bank reconciliation can be inefficient, especially when dealing with a large number of accounts across various banks. QX QuickReco simplifies this process by automatically importing data and facilitating the matching of transactions to enhance the efficiency of reconciliation. The platform aligns information from general ledger files with bank statement reports, performing automatic matches while also accommodating adjustments for any hidden transactions, like bank fees or charges. Users can conveniently set up and manage multiple accounts from the same financial institution or from different banks. Additionally, the system allows for the integration of newly established accounts, enabling the import of thousands of records from bank statements and bank books for seamless automatic reconciliation. It is also straightforward to enter adjustment entries for payments that do not correspond with invoices. Furthermore, entries can be categorized based on their matching status—whether they were auto-matched, manually matched, or adjusted—providing clarity and organization throughout the reconciliation process. This comprehensive solution ultimately enhances accuracy and saves valuable time for financial professionals.
API Access
Has API
API Access
Has API
Integrations
No details available.
Integrations
No details available.
Pricing Details
No price information available.
Free Trial
Free Version
Pricing Details
No price information available.
Free Trial
Free Version
Deployment
Web-Based
On-Premises
iPhone App
iPad App
Android App
Windows
Mac
Linux
Chromebook
Deployment
Web-Based
On-Premises
iPhone App
iPad App
Android App
Windows
Mac
Linux
Chromebook
Customer Support
Business Hours
Live Rep (24/7)
Online Support
Customer Support
Business Hours
Live Rep (24/7)
Online Support
Types of Training
Training Docs
Webinars
Live Training (Online)
In Person
Types of Training
Training Docs
Webinars
Live Training (Online)
In Person
Vendor Details
Company Name
Bank Cubes
Country
Jordan
Website
bankcubes.com/OneProduct.aspx
Vendor Details
Company Name
QX Global
Country
United Kingdom
Website
qxglobalgroup.com/product/bank-reconciliation-system/