National Information Solutions Cooperative  
National Information Solutions Cooperative
 
National Information Solutions Cooperative
iVUE Accounting & Business   Solutions Fact Sheet
NISC’s iVUE Bank Reconciliation delivers real-time, reliable cash balance and offers integration with iVUE General Ledger, Payroll / Labor and more. NISC’s iVUE® Bank Reconciliation ensures real-time, reliable cash balance that you can depend on by delivering an integrated solution to quickly reconcile your bank statements to iVUE’s General Ledger. iVUE’s Bank Reconciliation will easily track checks, electronic payments, deposits, electronic deposits and transfers. The reconciliation process saves time and ensures accuracy by quickly identifying the items to clear. iVUE Bank Reconciliation allows for transactions to be imported and cleared through a simple import process, that can be easily customized by bank account to match the banks electronic output.
 
iVUE Bank Reconciliation delivers real-time, reliable cash balance and offers integration with iVUE General Ledger, Payroll / Labor and more.
iVUE Bank Reconciliation features:
  • On-screen bank reconciliation from bank statement to the GL cash account
  • Single point of entry for all check void processes
  • User-defined file formats for the import of your banks reconciliation files
  • Transaction inquiry and drill down to source application
  • Check signature security and multiple signature authority can be defined with each bank
 

 
Copyright 2010 © All Rights Reserved. NISC is a registered trademark of National Information Solutions Cooperative.
Facebook Twitter Youtube