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m-hance Limited

Trinity House, Bredbury Park Way
Stockport, SK6 2SN UK

Product: m-hance Bank ManagementGP

Industries: Advanced Bank Reconciliation, All/Horizontal, Finance

Product Website


Bank reconciliation is a necessary task for most businesses; however as a manual process it can often become time-consuming and frustrating. m-hance Bank Management is fully automated, simplifying your Bank Reconciliation process and allowing your finance team to concentrate on more valuable tasks.

Pricing/Buying Information

Please Contact CAL for Pricing Information.

m-hance Bank Management is fully integrated with Microsoft Dynamics GP v10, 2010 and GP2013. Bank Management uses a rule-based matching routine to reconcile bank transactions within Microsoft Dynamics GP to your Bank Statement. This ensures that bank reconciliation is a fully automated and flexible process, allowing for up to 4 different search criteria per Rule ID and allowing for pre-defined tolerances within date and amount fields.

Functionality includes:

  • Bank Statement Import
  • Rule-based matching
  • Reconciliation to the general ledger
  • Reporting and Smartlists


  • Time Savings – m-hance Bank Management will eliminate any unnecessary manual processes, simplify the bank reconciliation process, reduce administration costs and allow your finance team to concentrate on more valuable tasks.
  • Greater Financial Control – Accurate bank reconciliation processes ensure tighter financial control by highlighting potential bank errors, unexpected charges, input errors or missing transactions.


More Information Coming Soon





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