Nkonki Services

Internal Audit: Out-Source, Co-Source or, In-House
Combined Assurance
Written Assessment of Internal Financial Controls
Audit Committee Guide
Audit Committee Checklist
Nkonki Special Report
Nkonki Checklist
More Than Just Reporting
More Than Just Reporting
Quick Wins Towards Excellent Integrated Reporting
Answers To Frequently Asked Questions
Budget 2011 Fact Sheet
Budget 2011 Fact Sheet
fruad
fruad
Top 10 guide to sustainability reporting
IFRS - 2010
Companies act

Systems

Deposit/Debit Order Allocation System

Nkonki’s Bank Reconciliation system works on a Microsoft Windows platform as well as Microsoft SQL server data base. There is also a version that works on an IBM mainframe.

Most bank reconciliation programmes require to be ticked manually, thus making them inefficient and often inaccurate for organisations that deal with large volumes. Nkonki’s  in-house developed programme automates the entire process and has been successful in updating bank reconciliations that contain millions of bank and cash transactions almost overnight. Even the system-generated exception reports are useful as they provide pointers for the root-causes of the clients’ problems.

This program is available for rental or for sale. Or it can be used as a tool by the Nkonki team in efficiently updating your records.

For more information about our Bank Reconciliation Program please click here systems@nkonki.com