Selecting Transactions to Reconcile

To reconcile transactions against items on a bank statement:

  1. Display the details of the bank reconciliationClosed The process of comparing and matching transaction values against those shown on a bank statement in order to uncover any possible discrepancies..
  2. Click Reconcile Manually from the Bank Reconciliation Action section.
  3. [Optional] Click any column heading to sort the records using that column's data.
  4. Compare the transaction line item details against those shown on the bank statement.
  5. Select the relevant checkboxes in the left-hand column. Alternatively, use the checkbox in the column heading to select or deselect all transaction line items.
  6. Click Reconcile and then Confirm to reconcile the selected transaction line items.
  7. [Optional] Continue selecting transaction lines until all relevant items have been reconciled.
  8. Review the calculated totals in the Balances section of the compact summary.
  9. [Optional] Continue to add or delete lines and/or edit values.
  10. Select the relevant checkboxes in the left-hand column. Alternatively, use the checkbox in the column heading to select or deselect all transaction line items.
  11. Click Reconcile to Bank and then confirm to reconcile the selected transaction line items.
  12. [Optional] Continue selecting transaction lines until all relevant items have been reconciled.
  13. Once the Difference field in the compact summary reaches 0.00, click Commit to change the Reconciliation Status to Complete.

Viewing the Bank Reconciliation Charges

The Bank Reconciliation Charges list page displays a list of bank reconciliation charges. From this page, you can view detailed information and access other related information.

  • Click a Bank Reconciliation charge to view the bank reconciliation charge details
  • Click Clone in bank reconciliation charge record page to create another charges line item
  • Click Edit to edit the bank charges details. When you have finished, click Save. You can also click Save & New to save the current record and create another.
  • Click New to create a bank reconciliation charge
  • Click any column heading to sort the records using that column's data.