Run Bank Reconciliation reports

Modified on Fri, 9 Feb at 1:15 AM

Running the bank reconciliation reports is the final stage of bank reconciliation. 


Before you start: 


Enter Bank Presented Items.


To run Bank Reconciliation reports: 


Run and print the following reports from the Main Menu > Accounting > Bank Reconciliation:

  1. Bank reconciliation report

    Using the ellipsis select the Bank No. from the list, then add in the Date To, Year and Period.

  2. List reconciled items report

    Using the ellipsis, select the Bank No. and the Date To. to search up to a date range.

  3. List unreconciled items report


Next you can:


Audit Reconciled Items.

Was this article helpful?

That’s Great!

Thank you for your feedback

Sorry! We couldn't be helpful

Thank you for your feedback

Let us know how can we improve this article!

Select at least one of the reasons
CAPTCHA verification is required.

Feedback sent

We appreciate your effort and will try to fix the article