Group netting is the aggregation of receivables and payables between the individual companies of a group according to globally defined rules. Especially by matching foreign currency transactions, significant rationalization benefits can be achieved.

Direct entry of the relevant receivables / payables

Exact, trackable reconciliation of inter-company transactions
Automatic calculation of one net payment per company
Production of the netting statement in one or more settlement currencies per company
Full Web Capabiliy
All functions can be utilized via Internet / Intranet