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Accurateᵀᴹ Enterprise Reconciliation

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Accurateᵀᴹ Enterprise Reconciliation

Today’s increasingly regulated business environment requires robust, scalable and flexible financial controls.

Accurateᵀᴹ Reconciliation from Fiserv provides a powerful state-based processing engine that uses configurable rules to check large quantities of financial data for accuracy against anticipated results. The solution supports all account and transaction types, is fully multi-currency enabled, and provides financial control through automation of the account and balance sheet reconciliation process.

Accurateᵀᴹ Reconciliation from Fiserv provides organizations with enterprise capabilities beyond the standard scope of reconciliation including data management, case management, exception management, certification management and full workflow automation functionalities.

Key Features
Why Fiserv’s Accurateᵀᴹ Reconciliation?

Automates and standardizes the reconciliation process

Reduces deficiency findings during internal control audits

Eliminates the restatement or correction of financial reporting

Ensures supporting information is accurate and delivered on time

Facilitates reporting of certified accounts

Automates exception management and improves operational efficiency

Gives complete and consistent information for auditors

Provides enterprise scalability for high volumes

Enhanced Control and Visibility

  • Standardized processes give transparency and drive visibility across asset types leading to a more accurate single truth

Increased Efficiency

  • Reduces financial close time by 2-4 days

Error Reduction

  • Automation of the reconciliation process leads to 50% less errors and reduction in costly restatements

Resources Optimisation

  • Automation of process reduces repetitive tasks, optimizing resources enabling employees to focus on value add functions
Read More |  Fiserv– Accurateᵀᴹ Reconciliation
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