Presented on October 19, 2022
Reconciling data from separate systems is a critical process required for a period close. This often involves manually pulling the data out of separate systems and using spreadsheets to complete the reconciliation—a time consuming, resource-intensive, and error-prone process.
View our on-demand webcast, Automate the Reconciliation of Your Financial Systems, and learn how you can free up valuable resources, among other topics.