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Retail Case Study

Leading Retail Organization Gains the Visibility Needed to Efficiently Manage Its Financial Close Process With an ongoing vision to be a fast growing, innovative, trusted and dynamic company, this retailer was looking for a solution that could automatically reconcile high volumes of data transactions and detect exceptions and missing or…


Greater visibility and control over the process, with 1.6 million transactions matched automatically With over 600 branches across the country, Jewson is the UK’s leading supplier of sustainable timber and building materials. The first Jewson branch opened in 1836 – for 180 years we have been supplying building materials and…

Protector Insurance

Protector Insurance was growing fast, but its finance department was stuck in the past, manually reconciling accounts and storing them in three-ring binders.The Adra Suite moved the company from manual to modern, providing more control over the financial close process.

Western & Southern Financial

Western & Southern Uses Trintech’s Reconciliation and R2R solutions to Oversee and Report on Internal & External Financial Controls Western & Southern Financial Group is a Fortune 500 diversified family of financial services companies, owning and managing total assets of $65 billion. Western & Southern is one of the strongest…

Texas Tech University

Texas Tech University Uses Trintech’s Reconciliation Solution for its Bank Reconciliation to Eliminate Manual Accounting Processes Texas Tech university, often called TTU, is a public researc university located in Lubbock, Texas. Established in 1923, Texas Tech’s student enrollment is the 6th largest in the state of Texas, which, as of…

Ahold Delhaize

Ahold Delhaize’s preparation and review of monthly reconciliations was a daunting and time-consuming task with no visibility into whether reconciliations and closing tasks had been completed on time, if supporting documentation was attached, or more importantly, if there were any issues that needed to be resolved. They wanted increased control and visibility of their general ledger reconciliation, and improved efficiency.

Alabama Power

Alabama Power quickly realized significant process improvements and time savings using Trintech’s reconciliation solution for its depository accounts. Because of the solution’s flexibility, the utility expanded its usage across other company processes as well, including; credit card transactions, payroll, accounts payable, check drafts, stock dividends, unclaimed property and general ledger account reconciliation.