Comparable sources
Compare transactions and balances for the same period and currency.
Find differences between bank and accounting records.
We are developing Qedara Recon for bank and account reconciliation: comparing entries, identifying differences and documenting reviews. The roadmap includes unmatched transactions and exceptions that need investigation before period close.
Compare transactions and balances for the same period and currency.
Identify unmatched entries and differences that need explanation.
Retain context and explanations for reconciliation at period close.
Bank reconciliation within Start and the separate Qedara Recon product have different availability. Recon is in development.
A visual introduction to the problem, workflow and product direction.
Concept film · Product in development
English text · No narration