Cadency Reconciliation Match
Due to the growing amount of data that accounting teams must reconcile, the reconciliation process has become a daunting task for even the most established organizations. Each period, Offices of Finance must spend their most precious resource, their accountants, manually looking for and resolving errors. When deadlines become too tight, these companies
must cut corners that open them up to unfound errors, fraud and possible misstatements.
In order to adapt to the growing amount of financial data that Offices of Finance most properly handle, transformation must take place in the approach organizations take with their reconciliations.
With Cadency Reconciliation Match (Match), the Office of Finance can perform high-volume transaction matching as part of a comprehensive approach to the Record to Report process — rapidly enhancing the accuracy and regulatory compliance of all resulting financial statements.
Learn more about how Cadency Reconciliation Match can help your Office of Finance by downloading the brochure today!