Eliminate Manual Data and Reconciliation Management
Due to the growing amount of data from multiple data sources that accounting teams must reconcile, the reconciliation process has become daunting for even the most established organizations.
With Cadency Match, the Office of Finance can perform high-volume transaction matching as part of a comprehensive approach to the Record to Report process – thus enabling your team to drive a more efficient and effective process around point-of-sale transactions, bank reconciliations, and intercompany matching as critical processes that impact the monthly close process.
Download the product brochure to learn more.
Download the Product Brochure
Reduce the Time and Risk Associated with Transaction Matching
Organizations who rely on Cadency Match are seeing up to:
Reduction in Time Spent Matching Transactions
Reduction in Time Spent Researching Financial Exceptions
Reduction in Internal Effort to Support External Auditors