Create a report template that will match up with Disbursement Reports from BBMS

Organizations typically need to code their reports by transaction, and reconcile each transaction with a disbursement report. Currently we are using 3 separate reports as well as looking up additional information for every report to make this reconciliation work which takes an extraordinary amount of time and effort and leads to errors since we are doing so much manual manipulation.

  • Guest
  • Feb 14 2017
  • Reviewed: Voting Open
Area of the Product Reporting
Org/Company Name OCRFA
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