- One month free trial
- Insight into your first three months of inventory ledger
Microsoft Dynamics inventory software
Inventory reconciliation easily and quickly compares the connection between your sub ledger and general ledger. With the push of the button you will be able to analyze the entire inventory, substandard and all coverage costs and revenue and connect with the ledger. This information enables you to respond quickly to differences that arise in your processes.
Inventory solution
Within the analysis screens, you can view the connection between your sub- and general ledger administration in one click. The information is presented by ledger account with the values from the sub administrative, ledger, and the differences. In addition, the most common reasons for differences are shown: manual bookings and use of an account for different purposes.
For many users, it is difficult to understand the different booking paths in Dynamics NAV. The stock connection screens give you a clear picture of the result of the analyzed bookings. For this reason, the stock records and bookings to cover accounts are split into two different screens. The cover bookings are grouped by process.
Benefits inventory reconciliation
Continuous Insight
The Inventory Reconciliation app gives you continuous insight into the reliability of your inventory value and cost coverage in your general ledger.
Saving Time
No more long hours spent figuring out the causes of differences in inventory valuation. The app instantly shows you the causes with overnight results.
Two Checks
1. You verify your inventory subledger quantities.
2. We ensure that the valuation matches the general ledger.
Free Trial
One month free trial for insight into the reconciliation for you first three months’ of the inventory ledger. Enthusiastic? Check our information page and stay in control.