I enjoyed the article “Double-Teaming in Excel” ( JofA , Nov.05, page 83 ). VLOOKUP is so versatile; I have used it to reconcile outstanding checks each month. I download the checks that were paid for ...
Behind every successful business finance operation lies a collection of essential practices that often receive attention only when problems surface. Invoice reconciliation, rarely celebrated or ...
Ensuring the matching of two sets of records—reconciliation—is a fundamental aspect of FinTech operations. It verifies that financial data like transactions, payments, trades and balances are accurate ...