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SAVE
TIME AND EFFORT THROUGH AUTOMATED RECONCILIATION
If your staff
is spending significant time manually reconciling your company’s
checking accounts and/or deposits made from multiple locations,
California Bank & Trust’s automated Account
and Deposit Reconciliation
Services can dramatically reduce the time and effort
required. Our reconciliation services can also help you detect errors
and fraud, while improving internal audit controls. Choose
from a variety of plans:
- Partial
Account Reconciliation requires no input from you. We
provide a sequential list of all checks paid during your business
cycle – by hardcopy, diskette, or transmission – for
use with your internal disbursement accounting system.
- Full
Account Reconciliation uses “check issue”
files that you provide us via direct data transmission, e-mail
or diskette. We then list and total both paid and outstanding
checks, providing you a list of outstanding items. With information
you provide, we can help you track disbursement activity by account,
division, or location.
Full
Account Reconciliation also allows you to take advantage of our
Positive Pay service, where items provided in
your “check issue” file are matched against checks
presented to identify discrepancies or suspect checks. Using CalBank
NetworkSM, CB&T’s Internet cash management
service, you can view the front and back images of these checks,
and make payment/return decisions online.
- Deposit
Reconciliation tracks deposit activity made by multiple
locations, based upon the location number encoded in the MICR
line of the deposit ticket. We provide you reports detailing deposits
by location, day, and cycle --for daily, weekly, or monthly activity.
Your daily location deposit activity is also available online
through CalBank Network.
Our professional
team of Cash Management officers can help you analyze your current
accounting operations to recommend the reconciliation plan that
best meets your company’s needs.
Advantages of CB&T’s Automated
Reconciliation Services:
Reduction
in staff time through the elimination of manual reconciliation
processes.
Increased
accuracy
due to automatic matching and tracking.
Flexible
reporting with access to a variety of reports detailing
activity –available for easy reference on a daily, weekly,
or monthly basis.
Increased
control
with more accurate and timely information. Using CB&T’s
Image Services, you can also view images of paid checks and deposited
items.
Increased
fraud protection
with audit trail of activity. And when used in conjunction with
CB&T’s Positive Pay service, you can view the front and
back images of suspect checks, and make payment/return decisions
online.
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Copyright (c) 2008 California Bank & Trust
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