For businesses that issue a large volume of checks each month, reconciling bank statements and other transactions can be a costly and time-consuming task. Let Paragon help your business operate more efficiently with streamlined account reconciliation services.
- Receive paper or electronic reports of paid, cancelled, and outstanding or uncashed checks
- Sort checks by number, dollar amount, or date paid
- Improve accounting accuracy and maintain better audit control
Contact us for help with your account reconciliation.