When Finance professionals have so many sophisticated tools available to them – such as their GP System – it remains an odd fact that most of the vital account reconciliations are performed with a mix of home-grown, largely excel based templates. A growing number of organizations are deploying the new breed of systems designed specifically to automate, streamline and strengthen reconciliations. The results are startling – savings in deployed staff time are achieved very quickly alongside operational benefits to cash-flows and month end governance. Our session explores these new systems using case studies from our extensive client base.