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Edinfini Banking Management

Simplifying bank reconciliation with Edinfini Banking Management ERP

EDinfini Banking management is one window to administer bank accounts and bank reconciliations. Manage bank details, organize bank transactions of cheque payments, deposits, and reconciliation of bank transactions in an easy way. With Edinfini core Finance Module organize your Bank details, Cheques, Deposits, Bank Adjustments, Bank Register, and Bank Reconciliation. You may add unlimited records under each module.

Helps you detect accounting errors

Ensures the accuracy and validity of financial information

It ensures that you can identify any unusual transactions caused by fraud or accounting errors.

It achieves real time accurate balance

Keeps the accounts in good standing

Secures campus deposits and simplifies the bill paying

https://fimtechnologies.com/software-development/

Full, real time visibility and reliability

Automate reconciliations between bank statements and general ledger data. Edinifini’s sophisticated matching rules fully automate bank and credit card statements. Auto-create general ledger entries and use tolerance based write-offs. One central, reliable, cloud based solution powering bank reconciliation automation.

Intelligence and Automation

Our bank reconciliation automation software module has a powerful matching engine which is based upon rules defined by your finance department. Data from your general ledger files is compared directly to your bank statements and auto-matching takes place. All relevant banking data is reconciled through one central reliable tool. Quick, easy, accurate.
student information system
Business Intelligence

Multi-bank, multi-site, multi-currency

Edinfini’s automated bank reconciliation software provides a multi-currency, multi-site solution that can be deployed across multiple environments and ERP systems. Such integration brings huge efficiencies and massive cost savings as your company can now employ a single payments platform across multiple sites and banks.

An unprecedented level of flexibility

Our bank account reconciliation software auto-reconciles General Ledger and Bank Statement items. It’s statement-only functionality allows automatic generation of journals in Cashbook for bank charges, interest, etc. Unpresented cheques and unpresented lodgements enable unreconciled items to be rolled-over at period end into future reconciliations. Unreconciled items and amounts are totalled and displayed through the software.
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Want to discover how Edinfini Banking
can help your institution?

Success Stories​
“Edinfini, with it’s powerfully integrated and fully automated tools has dramatically transformed and streamlined our operations, having positive impact on overall student and faculty servicing, resulting in higher retention. It’s a pleasure having worked with Edinfini’s team of thorough professionals focused on student success.”
Syed Zain-ul-Abedin Shah

Director Finance
University of Sindh

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