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➔ The Corniche reconciliation feature allows correspondent or broker accounts to be reconciled when statements are received. But we recognized that our clients might want to reconcile any general ledger account against a set of source transaction documents or a list in statement format. And so we built in the capability for any ledger to be reconciled and the results of reconciliation locked. When combined with the advanced selection criteria and the ability to hide already reconciled items, accounting staff will find Corniche reconciliation to be fast and efficient.