Is Passport Business Solutions right for your business?

Passport Business Solutions is a great fit for many businesses. Find out if it's the right choice for you! Are you looking for a Passport Business Solutions demo, technical support, product or pricing information or to simply to compare Passport Business Solutions with competitive options? Quickly get answers and the information you need.

  • Maintains checkbooks for money deposited and disbursed in Accounts Receivable, Accounts Payable, and Payroll.
  • Automatically gets deposits and checks from PBS Accounts Receivable, Accounts Payable, and Payroll packages.
  • General Ledger distributions from checkbook transactions such as back charges, interest earned, etc. can be directly interfaced from Check Reconciliation to the General Ledger package, reducing repetitive date entry.
  • Handles an unlimited number of checking accounts.
  • An unlimited number of cash accounts are supported that may be shared with Accounts Receivable, Accounts Payable and Payroll.
  • Reconciles checkbooks periodically with bank statements.
  • For each checking account, offers the option of either bank–to–book or book–to–bank reconciliation.
  • A Close Checkbook selection is provided to remove an obsolete checkbook from the system.
  • Handles stop–payment checks and checks that are voided after they have been transferred to the checkbook.
  • Provides safeguards against getting your information out of balance or getting tangled up during the reconciliation process.
  • Returned check information for NSF checks from Accounts Receivable is automatically handled.
  • Voided check information from Payroll and Accounts Payable can be transferred to Check Reconciliation
  • Includes a Reconciliation Report, Checkbook Report and Account Activity Report
  • The Check Reconciliation package can be integrated with any or all of Passport Business Solutions’ Accounts Receivable, Accounts Payable, General Ledger and Payroll packages. You can transfer information from these packages automatically into the Check Reconciliation package.