Cashbook is an add-on automation and productivity tool for Lawson that consolidates all your cash information in one location and creates a daily overview of your cash position. Transform your financial operations and increase the productivity of your Accounts Receivable, Accounts Payable and Bank Reconciliation functions with Cashbook’s automation capabilities. We take into account cashflow going to patient health systems, such as EPIC and Cerner.
Cashbook automates the coding from bank statements to Lawson General Ledger codes. This includes automating lockboxes, credit card files, deductions and decoupled remittance details from emails and web portals. Cashbook automates payables with checks, ACH’s, wires and the new ISO 20022 formats. Bank Reconciliation automation transforms your month-end into a daily reconciliation so the last day of the month is as easy the first day of the following month.