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Our Account Reconciliation services expedite checking account reconciliation through an automated delivery system. Reconcilement information can be delivered daily, weekly, monthly, by accounting period, or on specified days. We also offer special check range subtotaling to help your institution reconcile by department within a single account.
Options include:
| Full Reconciliation |
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We provide a full reconciliation report, including checks paid, outstanding items, and exceptions. Reports are available via hard copy, and check paid information can be transmitted electronically.
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| Partial Reconciliation |
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This most basic service provides a report of items paid, which can be sorted according to your instructions. Sovereign supplies a detailed summary of account activity, and information on paid checks and stopped items. Sovereign can schedule electronic data delivery to coincide with your reconcilement period.
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