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Reconciliation Management System


Monica Preethi K K, Kavitha M, Revathi K
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Reconciliation refers to the process of comparing two organizational transaction accounts to ensure that the two records are in agreement. Accounting Reconciliation process is used to ensure that the money withdrawn from an account matches the actual money deposited. This is handled by making sure the balances match at the end of a particular accounting period. Reconciliation must be performed for all the balance sheet to display the financial records reliability. This paper discusses the Reconciliation using RTGS transaction and on comparing the two records the odd transactions will be highlighted and displayed out with the help of the GHIC (Greedy Hierarchical Item Set-Based Clustering) algorithm.

Monica Preethi K K, Kavitha M, Revathi K

Transaction, Reconciliation, Transaction, Reconciliation, Greedy Hierarchical Item Set-Based Clustering , Real Time Gross Settlement, National Electronic Fund Transfer


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Publication Details

Published in : Volume 1 | Issue 2 | March-April - 2015
Date of Publication Print ISSN Online ISSN
2015-04-25 2395-1990 2394-4099
Page(s) Manuscript Number   Publisher
156-158 IJSRSET152255   Technoscience Academy

Cite This Article

Monica Preethi K K, Kavitha M, Revathi K , "Reconciliation Management System", International Journal of Scientific Research in Science, Engineering and Technology(IJSRSET), Print ISSN : 2395-1990, Online ISSN : 2394-4099, Volume 1, Issue 2, pp.156-158, March-April-2015.
URL : http://ijsrset.com/IJSRSET152255.php