bankkontenlösung
Bankkontenlösung refers to the process by which a bank reconciles its internal records of customer accounts with the actual financial transactions that have occurred. This involves comparing deposits, withdrawals, fees, interest, and other account activities against external sources such as customer statements, ATM records, and online banking logs. The goal is to ensure accuracy and identify any discrepancies.
The process typically begins with a reconciliation period, often daily or monthly. During this period, all transactions
Specialized software is often employed to automate much of this reconciliation. These systems can flag discrepancies,