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Peresoft RecXpress - What's new in Version 5.6?

Peresoft’s all new RecXpress changes the concept of how to do your bank reconciliation. You are now able to reconcile your bank balance to your Cashbook balance instead of your Cashbook to you bank balance. This will stop tedious and repetitive bank reconciliation processes by completely automating the data entry and reconciling of all transactions on your bank statement downloaded from your bank.

Introduction Accpac Modules What's new in Accpac 5.6 Platforms/Certifications Accpac ERP 100 Accpac ERP 200 Accpac ERP 500 Market-specific Solutions Companion Solutions

Revolutionize your Bank Reconciliation Process with RecXpress 5.6A

Peresoft’s all new RecXpress changes the concept of how to do your bank reconciliation. You are now able to reconcile your bank balance to your Cashbook balance instead of your Cashbook to you bank balance. This will stop tedious and repetitive bank reconciliation processes by completely automating the data entry and reconciling of all transactions on your bank statement downloaded from your bank.

Complete flexibility is provided to allow you to generate all your bank transactions directly from your bank statement data into a Cashbook batch therefore eliminating any additional data entry. Using your bank statement to enhance and build a default template, your reconciliation becomes quicker and easier every month. Eventually the entire bank reconciliation process becomes completely automated.

6 Steps to a Simple and Fast Bank Reconciliation:

1. Create a template of all bank entries that are processed monthly.

Add as many different conditions as required so the batches are automatically generated without you having to enter the same information every month. Build and enhance your template to include more and more entries every month you process the bank reconciliation, until the template evolves to a point where almost no manual data capturing is required.

2. Allow RecXpress to do intelligent matching in every possible way to complete the reconciliation

Matching processes include:

3. Tweak the reconcilliation matching by:

4. Generate a batch of all the unmatched entries

Automatically allocate the entries by using the following methods:

5. Generate a variance amount batch

Generate a Cashbook batch of the variance between the Cashbook and the bank statement amount for the entries that were matched by reference number but the amounts are different from one another. Post the Cashbook batch and the entries are moved from the Matched With Error group to the Many CB To One Bank Entry group where the original Cashbook entry and the variance entry is displayed in the Cashbook Transactions section when selecting the Bank Statement entry.

6. Post the reconciliation to update the bank statement balance in Cashbook.

Check that you agree with the new bank statement balance in RecXpress before posting the reconciliation to update the bank statement balance in Cashbook.

Please click here to download the complete RecXpress 5.6 New Features brochure

For more information regarding Peresoft RecXpress Version 5.6, please contact AccTech Sales Division on
Tel: +27 12 664 0200 or email: sales@acctech.biz