From Transactions to Insights: Automating Reconciliation for Retail Finance
Webinar
Share
Register for the Webinar
When: Thursday, October 8th
North America: 8:00 am PT | 10:00 am CT | 11:00 am ET
Reserve Your Spot Today. Space is limited.
Can’t attend live? Register anyway and we’ll send you the on-demand recording.
Simplify high-volume reconciliation and focus your team on the exceptions that matter
Retail transactions don’t end at the point of sale. Finance teams must reconcile a complex flow of data across payment methods, financial systems, banks and the general ledger—all while keeping pace with growing transaction volumes and an increasingly demanding financial close.
When those processes depend on spreadsheets and manual matching, finding the transactions that don’t reconcile can become a time-consuming challenge. In this webinar, discover how automation can help retail finance and accounting teams streamline high-volume transaction matching, identify discrepancies faster and spend less time manually reconciling data.
You’ll also hear from Jen Beougher, CFO of Ruby Slipper Restaurant Group, who shares how her team moved away from manual, spreadsheet-driven processes and automated key reconciliations across a high-volume, multi-location business.
What you’ll learn:
- How to automate matching across high volumes of transaction data
- How to identify discrepancies and exceptions faster
- Ways to reduce manual reconciliation and spreadsheet dependency
- How an exception-driven approach can improve control and accuracy
- How automation can give Finance more time for analysis and higher-value work
Meet the Speakers

Jennifer Beougher
Chief Financial Officer, The Ruby Slipper Cafe LLC

Nathan Stabenfeldt
Senior Product Marketing Manager, Trintech