Bank Statement Import
Import statement lines with configurable column mapping.
How Bank Statement Import fits into Banking & Reconciliation
Import statement lines with configurable column mapping. It uses the shared MAS ERP product foundation, company context, permissions and authoritative source transactions.
Controlled execution
Designed to keep responsibility, process state and reporting evidence visible to authorised users.
Clear accountability
Designed to keep responsibility, process state and reporting evidence visible to authorised users.
Reliable reporting
Designed to keep responsibility, process state and reporting evidence visible to authorised users.
Continue exploring Banking & Reconciliation
Automatic Match Suggestions
Suggest accounting transactions based on amount, date and reference.
ExploreSplit Transactions
Allocate one bank line across multiple accounting items.
ExploreBank Charges & Interest
Capture bank-originated charges, interest and adjustments.
ExploreReconciliation Approval
Review matched and unmatched items before completing reconciliation.
ExploreSee how MAS ERP fits your operating model.
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