CloseAccuracy

Reconciliation Pack

Assembles each account reconciliation with its statement, tie-out, and open items in one place.

Part of Bank and GL Reconciliation

Tools

HighRadius Autonomous Reconciliation, BlackLine, NetSuite

Outcomes

One pack per account instead of five files • Reviewer sign-off recorded in place

Documentation

Instruction-ready detail below

<in:schedule>On the last business day of the month</in:schedule>, gather <in:documents>each account reconciliation with its statement</in:documents> and <email>email</email> the reviewer the accounts still open.

Instruction file

<in:schedule>On the last business day of the month</in:schedule>, gather <in:documents>each account reconciliation with its statement</in:documents> and <email>email</email> the reviewer the accounts still open.

Setup requirements

Tools

HighRadius Autonomous Reconciliation, BlackLine, NetSuite

Trigger

On the last business day of the month

Setup time

30 minutes

Download

Start with one instruction file.

Download the app and begin with drafts and checklists before you write anything back.

  • •Plain-language instructions
  • •Runs on your machine
  • •Works with your existing setup
  • •Reviewable activity history
Download