Intercompany Bridge is Here!

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While some people prefer to slow down a tad for summer, we’ve been busy like bees here at Binary Stream, and have a great product to show for it.

Do you ever wish that you didn’t have to struggle with designing specialized reports just to pull info across databases? Or maybe, you’re mind-numbingly entering the same customer or vendor data into each database manually?

Introducing the Intercompany Bridge (sound trumpets here)!

Here is a bit of what users can expect to achieve with Intercompany Bridge

  • Better visibility into the performance of their businesses with built in cross-database reports for trial balances in GL, payables, and receivables
  • Simplified cash receipt processing – the ability to apply one customer payment to all invoices, from all databases in just one window
  • Some serious efficiency gains – No need to repeatedly update multiple records in multiple databases by synchronizing master records in AR, AP and inventory control

The Intercompany Bridge streamlines your intercompany processes by automatically balancing transactions between your Dynamics GP databases. In a nutshell, it automates posting to the GL of the destination company, even on another database, in another functional currency. It doesn’t end there though! We filled it with a host of features that help alleviate some of the labor-intense tasks that you often get in companies with multiple entities.

If you would like to check out one of our recent webinar recordings on the Intercompany Bridge, please go to

And as always, if you would like to learn more about the Intercompany Bridge, please contact your local value-added reseller or Binary Stream directly at




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