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We have many stores, mostly in small towns, and are looking for a way to validate that what the store tells us was deposited to the bank at the end of the day and what the banks says was deposited are the same. We have a file that contains what the store says they deposited but, since the stores are in small towns, we need a way to collect the information from each bank. We are currently receiving what's known as a BAI file from our 10 largest banks, which accounts for approximately 1/3 of our stores. What we are looking for is a vendor that can take those 10 banks plus the other 200 or so banks that we deal with and generate one file containing all of the information from each store. Is there anyone out there with multiple locations, using multiple banks that consolidates their bank information into one file? What software or vendor do you use? TIA, Steve
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