الرئيسية / المتجر / Xero — Bank Reconciliation
حل
Xero — Bank Reconciliation
For SMB finance teams and their accountants using Xero, bank reconciliation is a critical and time-pressured monthly task — unreconciled transactions hold up period close, distort cash flow reporting, and risk late BAS lodgements in Australia, GST filings in New Zealand, or VAT returns in the UK. Manual reconciliation reviews are slow, inconsistent, and dependent on individual attention to catch every unmatched item.
خروج بيانات اختياري (معلن)
- الإصدار
- 1.0.0
- الفئة
- Financial
- بواسطة
- Evntx FZCO
- الترخيص
- proprietary
- يتطلب
- xero
Egress
| يتطلب | Host | ||
|---|---|---|---|
| piece.connector | your-configured-connector-hosts | https | Only the business systems you connect (xero) |