Streamline and Digitise Your Reconciliation Process
Adra by Trintech’s solution fully supports Reconciliation Management with both:
Adra Accounts – An advanced and effective transaction matching software that supports automatic reconciliation of any kind of data. All forms of financial and operational reconciliations are supported, and focus can be directed exclusively to exceptions to efficiently ensure the accuracy of data. ACCOUNTS is commonly used to undertake:
- Bank Reconciliation
- Intercompany Reconciliation (transactional / balance level)
- Credit card reconciliation
- Supplier statement reconciliation
- Etc.
Balancer – Balance sheet account reconciliation during the financial close with standardised substantiation template. The streamlined workflow and detailed audit trail give integrity to the reconciled balances.
Key Benefits
Adra Accounts has a great number of benefits for all personnel involved in the reconciliation process:
- Uniform, simplified work processes
- Easy to implement, learn and use
- Flexible and scalable solutions that grow with your company
- High performance – processes large quantities of data in a short time
- Advanced logic – correctly matched results
- Easy to generate reports and graphs
- Dashboard supplies a good overview
Adra and NetSuite Integration
This NetSuite integration retrieves general ledger account transactional information from the client’s NetSuite system for use in Adra’s Accounts Transaction matching reconciliation solution. The integration:
Retrieves the General Ledger transaction fields as defined by a saved search
- Formats the data for importing
- Encrypts and sends to Adra’s Accounts’ standard SFTP API
Customers can configure the SuiteApp to choose:
- The contents and format of the saved search
- The frequency and schedule of the transmission of data.