Costpoint Help

Cash Management Interfaces

Use the screens in the Cash Management Interfaces application group to import bank account information and transactions into Costpoint.


Related Topics:

Manage Plaid Bank Accounts

Use this screen to set up the integration between Plaid-supported banks and Costpoint.

Transfer Plaid Bank Transactions

Use this screen to download transactions from Plaid-supported banks and import them into Costpoint, and insert the downloaded transactions to bank statement tables for reconciliation.


Parent Topic:

Cash Management