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ESSENTIAL RECONCILING
Do you recognise some of these problems with your BPCS/Lx system?
ESSENTIAL FINANCE SUITE:
Developed for BPCS/Infor Lx® users, the Essential Finance Suite is an integrated solution which provides full control of your key Balance Sheet reconciliations.
It enables you to get to the reconciled position more quickly, freeing up time for management analysis and reporting.
If you recognise some of these problems then click on the reconciliation products to see how the Essential Finance Suite can put you back in control of your Balance Sheet!
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ACCRUALS MANAGER Manage the Purchase accruals account balances in CEA |
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INVENTORY MANAGER Reconcile the Inventory system with the Stock accounts in CEA |
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BANK MANAGER Reconcile transactions on Bank Statements directly with CEA |
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PAYABLES MANAGER Reconcile Accounts Payable (ACP) with the Creditor Control accounts in CEA |
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RECEIVABLES MANAGER Reconcile Accounts Receivable (ACR) with the Debtor Control accounts in CEA |
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CEA MANAGER Enables the finance user to checks the integrity of your CEA configuration with full explanation of what each Event, Model and Alias, is actually doing. |