What you will learn
How bank activity moves into Finance, how matching keeps the books clean, and why reconciliation is the bridge between cash movement and reporting.
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Finance guide
How bank activity moves into Finance, how matching keeps the books clean, and why reconciliation is the bridge between cash movement and reporting.
What you will learn
How bank activity moves into Finance, how matching keeps the books clean, and why reconciliation is the bridge between cash movement and reporting.
Try this first
Review one bank transaction, match it to the right invoice, bill, or transfer, then check that the dashboard reflects the update.
Where it shows up
Finance banking, cash position, receivables, payables, and management reports.
Practice checklist
Open the Finance product and find the related workspace or menu area.
Complete the first example with one customer, employee, campaign, job, plan, or client.
Check the result in the matching report, dashboard, export, or support view.
Next step
Get started
Start with Finance, open a specialist suite, or join as an accountant with a clear path into the product your team needs.
Finance, Payroll & HR, Media Suite, Production Suite, Business Plan, and Accountant workspaces are ready when you need them.
Create your account, compare pricing, or choose the product path that fits your team.