Sovereign Bank

Deposit Reconciliation

Deposit Reconciliation For Corporations
Our Deposit Reconciliation service helps corporations expedite checking account reconciliation through an automated delivery system.
Deposit Reconciliation is a cost-effective way to easily track daily deposits from multiple locations, and then reconcile those deposits in a timely manner to a single Sovereign Bank account.

Specially-coded deposit tickets and detailed reports allow you to track and monitor deposits by branch or location.

Reports are available via hard copy and IRIS, and can be provided on a daily, weekly, or monthly basis.
Access Real-Time Account Information
Electronically receive account and transaction data when you need it, and how you need it.
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