The new Bank Statement Reconciliation Deposit module allows deposits from PowerManager® cash register, utility billing, accounts receivable and general ledger applications to be consolidated into a single deposit record. Deposit records are then displayed when reconciling your bank statement. This means the deposits you see on-screen exactly match the deposit amounts shown on your bank statement.
PowerManager® is a powerful software package that allows users to handle a diverse range of tasks, including payroll, inventory, billing, accounts receivable, general ledger, accounts payable, budget projection and many more functions.
The PowerManager® Value Support Plan -- providing continual quality service. > Read More
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