Your best protection against fraudulent activity is daily reconciliation. With Disbursement Auditor, our Positive Pay service, you will eliminate the tedious, time-consuming task of manually tracking and reconciling your cheques.
We will notify you of cheques presented to the bank that do not match your issued file. This immediately brings to your attention cheques that are potentially fraudulent.
If you want to:
Quickly and effectively track and reconcile your cheques
Automatically reconcile your cheques on a daily basis
Safely store your cheques
Then Disbursement Auditor may be right for your business.
For more information about how Disbursement Auditor or any of our cash management solutions can benefit your business, contact us.