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This potent software can make bank reconciliation, settlements and commercial registers automatically obtaining a quick and secure final reconciliation report. The process of reconciliation is sharply accelerated and reliability is largely improved, avoiding errors resulting from hand made practices.

CheckBank 3.5 is highly parametric and adaptable to each company needs, the system supports:

• Multiple banks, companies, accounts, currencies, etc.
• Variable reconciliatory terms (weekly, monthly, etc).
• Multiple simultaneous users, multiple file structures: Datanet, Datacash, NewNet, diskettes of banks, accounting systems and others defined by the user.