BRMC - BRMC Multi-Currency Bank Reconciliation
Bank Reconciliation
Current Version
Version 7.30.P1
Last Modified: Jul 18, 2024
Required Modules: B/R
Compatible with Sage Service Update: 2024 (7.30) PU1
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BRMC Multi-Currency for Sage 100 ERP is invaluable to any company that must maintain Bank Account Balances in foreign currencies. Checks, Deposits and Adjustments from Accounts Payable, Accounts Receivable and General Ledger are posted in the Bank's Currency. The Bank Reconciliation Register, Recap Report, and the Estimate Cash Flow Analysis Report are printed in each Bank's Currency.
This module is fully integrated with Accounts Payable, Accounts Receivable and General Ledger. The Multi-Currency General Ledger module is required. BRMC provides the Sage 100 ERP (MAS 90, MAS 200) user with the ability to reconcile bank accounts in their original currency. Checks, deposits and adjustments posted from the Accounts Payable, Accounts Receivable and General Ledger modules are stored in the Bank's Currency. This allows the user to reconcile bank accounts easily and accurately.
This module is fully integrated with Accounts Payable, Accounts Receivable and General Ledger. The Multi-Currency General Ledger module is required. BRMC provides the Sage 100 ERP (MAS 90, MAS 200) user with the ability to reconcile bank accounts in their original currency. Checks, deposits and adjustments posted from the Accounts Payable, Accounts Receivable and General Ledger modules are stored in the Bank's Currency. This allows the user to reconcile bank accounts easily and accurately.
DSD Sage 100 ERP Multi-Currency Brochure - DOWNLOAD HERE
- Bank Accounts in Foreign Currencies: A currency is defined for each Bank Account.
- Checks, Deposits and Adjustments in Bank Currency: Checks, Deposits, and Adjustments from Accounts Payable, Accounts Receivable, and General Ledger are posted in the Bank's Currency for easy reconciliation.
- Edit Checks, Deposits and Adjustment: You may modify the System Amount of any Check, Deposit or Adjustment.
- Register in Bank Currency: Print the Bank Reconciliation Register in each Bank's Currency for easy and accurate reconciliation.
- Recap Report in Bank Currency: Print the Recap Report in each Bank's Currency.
- Estimate Cash Flow Analysis in System Currency: You may print an Estimated Cash Flow Analysis in System Currency. All amounts from Accounts Payable, Accounts Receivable and Purchase Order are converted to System Currency for this report.
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