GL Recon from
Middel & Partners will save you a lot of time reconciling
General Ledger accounts for Audit purposes and balancing
inter-company loan accounts.
We understand the frustration at month end/year end when
clearing accounts are not balancing and you are spending
hours on end to try and reconcile them, just to find
somebody posting an entry causing you to start over.
That is why we developed a system to aid in the
reconciliation process, and keep an audit trail of
reconciled entries.
Features:
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Manual or Automatic
reconciliation |
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Multiple Account
Reconciliation |
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Un-reconcile
Transactions |
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Reports |
Key Benefits
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Saves time |
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Data bases - MS SQL &
Pervasive SQL |
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Ease of use |
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Compatible with ACCPAC GL
4.2 to 5.4 |
Download Demo
Screen Shot

Pricing
For a quotation or a demo please contact
Derick Pretorius at (012) 345 1877.
Information Request Form
Select the items that apply, and then let us know how to contact you.
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