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Office Of Finance - Reconciliation and Closing of the Books

This is a demonstration of using Monarch to streamline financial reconciliation tasks, ensuring that final transaction records are accurate and correct. When a number of different reports are required to reconcile records, Monarch removes laborious and error-prone manual tasks such as re-keying data from various reports into spreadsheets such as Excel. Monarch automates the process of converting reports into rows and columns for easy reconciliation tasks.

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