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Sovereign's automated Account Reconciliation Processing services deliver the clearing and balance information you need, account by account, on the schedule you specify:
daily, weekly, monthly, by accounting period, or on specific days. Our system will also detail deposits from multiple locations into the same account, giving you an accurate picture of sales activity and collections across your company.
Reconciliation options include:
| Full Reconciliation |
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You provide us with data on checks issued and our automated system matches this
information against checks clearing your account. You receive a full reconciliation
report, including checks paid, outstanding items and exceptions. Reports are available
via email and FTP.
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| Partial Reconciliation |
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Eliminate the paperwork of routine reconciliation. You receive a report of items paid that are
sorted according to your instructions. We also provide a detailed summary of account
activity and information on paid checks and stopped items. Delivery can be scheduled
to coincide with your reconcilement period.
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| Deposit Reconcilitiation |
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Rather than establishing individual accounts for each business location, you can use Sovereign's deposit reconciliation service to provide a detailed listing of deposits by location into a single checking account.
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