Conciliation and classification application of company statements
Application for the reconciliation and classification of statements of a company that allows each statement to be related to the asset to which it refers. It allows you to load the statements or remittances of statements and create relationships with the assets to which they refer in such a way that it provides a structured view of the payments and collections on an asset. It has been achieved: verifying the reconciliation of statements in an efficient way, releasing the workload of 30% of the person responsible for this task and exploiting the information, giving knowledge of the company’s payments and collections.
Technology: Microsoft .NET