Description

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The problem it solves
Matching bank statements to your accounts by hand is slow and easy to get wrong.
BEST FORFinance teams closing the books faster and cleaner every month.

This AutoCount Bank Reconciliation plugin helps users import bank statements, configure statement formats, and match bank transactions against accounting records. It supports Excel and CSV files with configurable field mapping, header/data row settings, delimiters, and matching rules such as amount and reference-key matching. It adds tables for bank formats, reconciliation history, statement details, and processed records, and provides interfaces for managing formats, running reconciliation sessions, and reviewing matches.

Key Features

  • Import Bank Statements from Excel or CSV
  • Flexible Field Mapping for Any Bank Format
  • Automatic Matching by Amount and Reference Key
  • Full Reconciliation History You Can Review Anytime
  • Close the Books Faster with Fewer Errors

Plugin Info

Version: 

Text

Price:

Contact for Pricing

Last Updated:

Active Installation:

2000+

AutoCount Version:

V2.0.0

Installation

Plugin Info

Version: 

Text

Price:

Contact for Pricing

Last Updated:

Active Installation:

2000+

AutoCount Version:

V2.0.0

Support

For support, contact iDynamics Software at support@idynamics.asia or call 1300-800-828.

Plugin Info

Version: 

Text

Price:

Contact for Pricing

Last Updated:

Active Installation:

2000+

AutoCount Version:

V2.0.0

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