Account Reconciliation
Reconcile your high-volume business accounts easily and efficiently with our Account Reconciliation Programs.
First Horizon Bank's Account Reconciliation Programs (ARPs) are flexible, automated systems that aid you in the reconciliation of checks issued and deposits made to your high-volume business checking accounts.
Using one of the nation's most advanced Account Reconciliation software programs, First Horizon Bank offers a full complement of services that are specifically designed for disbursement and deposit management.
Product Features
- Partial Reconciliation (Paid Check Listing) – this is a listing of all checks paid during the cycle – typically provided in check number order, but options such as Paid Date order are available. This report can be accessed online or electronically transmitted for input into your reconciliation system.
- Partial Reconciliation (Deposit Listing) – Deposit Listing Report lists deposits made to an account and can be sorted to provide detail by deposit location. This report can be accessed online or electronically transmitted for input into your reconciliation system.
- Full Reconciliation – provides you with a balanced reconciliation at the end of the account cycle. You provide First Horizon Bank with a computer file of all checks issued. We match that file against checks that cleared. We then supply you with a listing of paid and unpaid items, making reconcilement much easier. This report can be accessed online or electronically transmitted for input into your reconciliation system.
- Image Delivery Service – provides images of paid checks that can be delivered via a transmission or accessed through our online delivery channels.
- Check Positive Pay – combat check fraud and forgery by matching the checks presented for payment against check issue detail provided by your company.
Product Benefits
- Increased efficiency – manual sorting of items and re-keying of data are eliminated. Clerical reconciling time is reduced.
- Improved control and security – ARP provides you with the ability to improve your internal audit of items. The Image Viewer provides controlled access to check and deposit detail.
- Lowered costs – Deposit Listing by location can eliminate the need for separate accounts for each location. The Image Viewer eliminates filing and destruction costs of sensitive documentation.