Use cases · Recon
Find differences between bank and accounting records.
Accounting and finance teams
Why do these two balances differ?
A planned scenario for identifying the entries behind a difference and the information that still needs review.
- 01 · PLANNED SCENARIOEntries
Transaction and balance sources
- 02 · PLANNED SCENARIODifferences
Period, currency and comparison rules
- 03 · PLANNED SCENARIOReview
Supporting documents and the reviewer
Bank reconciliation within Start and the separate Qedara Recon product have different availability. Recon is in development.
