Asset management and revenue reporting that accepts and tracks various types of payments then distributes the revenue to the appropriate products or services.
Benefits
Instills customers confidence in the system through its ability to accept, process and accurately reconcile payments made by customers
Improves customer service by logging customer correspondence for future use
Increased productivity by reducing the time it takes to reconcile and audit
Features
Cash Drawer:
Handles various payment methods
Cash, checks, credit card, Electronic Fund Transfer (RPT), escrow accounts
Combines transactions into a single statement
Reconcile, adjust and fund cash drawers
Sweep and transfer funds
Define cash drawer locations, users and default values/amounts
Can manage multiple locations
Financial Reporting:
Asset management and revenue reporting
Customize end of period daily, weekly, monthly, or quarterly
Creates and exports journal entries
Set-up and manage escrow accounts and EFTs
Tracks NSF checks, manages fines and refunds
Contact Us
online or call 1-800-553-1380 to schedule a visit.