Productsheet Account & Inventory Reconciliation
Your challenge
As a Controller or Finance Manager, you’re likely familiar with the challenge of reconciling suspense accounts during the month-end closing. Many companies still handle this reconciliation process manually, which is not only time-consuming but also prone to errors. Additionally, comparing the general ledger inventory value with the logistical inventory value often requires significant time and effort.
Our solution
Cadran offers the solution: General Ledger & Inventory Reconciliation. This JD Edwards add-on helps streamline and simplify your month-end closings and inventory processes.
Brochure
Download the brochure and discover the key-features and the benefits of the Account & Inventory Reconciliation add-on. We dive into:
- How general ledger and inventory can be easily reconciled.
- How our solution provides insight with clear inventory reports.
- How to ensure the integrity of your inventory processes.
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