Easy Does It: Financial Suite Bank Feeds
Many property owners and operators have wanted the ability to connect their financial institution to RealPage® Accounting, so they can automatically import transactions for their bank reconciliation. This demand led to the creation of Bank Feed Data for Accounting – the new add-on solution for RealPage Financial Suite customers.
Join RealPage® VP of Financial Suite Dan Newbern and Solution Engineer Brandon Patrick as they talk in-depth about how this new solution will save you time, effort and money.
This webcast will cover topics including:
- How to streamline businesses processes
- Tips and tricks for using Bank Feed Data
- How to connect to bank feeds
- Using the reconciliation workbench to review transactions
About Bank Feed Data for Accounting
Bank Feed Data for Accounting makes it easy to reconcile your bank accounts with RealPage Accounting. As transactions are imported daily, they will be auto-matched to the transactions in your general ledger – shortening time to close and expediting the monthly reconciliation process.
With over 20 years in technology and operations, Dan Newbern joined RealPage in 2016. As the Vice President of the RealPage Financial Suite, Dan brings innovative and customer-focused leadership to the Accounting and Budgeting products for our customers. Prior to RealPage, Dan led multinational ERP teams for one of the largest financial system companies in the United States and EU.
Brandon Patrick
Solution Engineer, RealPage, Inc.Brandon Patrick joined the RealPage Solution Engineering team in 2015 and was selected as the 2019 Solution Engineer of the Year. As a Solution Engineer, Brandon focuses on providing practical and tested examples of RealPage’s extensive product offerings, with a focus on Accounting, Spend Management, and Utility product sets. Prior to joining RealPage in 2009, Brandon served in operations and training roles with Bombardier Aerospace and Southwest Airlines.