This topic explains how to enter bank presented items so the account balance in the present items form matches the balance on the bank statement.
Before you start:
- Enter Direct Debit or Credit Items from the bank statement.
- Complete the End-of-Day process.
To enter Bank Reconciliation Presented Items:
- In the transactions menu, click bank reconciliation.
- The present items form displays, click the reconcile tab.
- Click the ellipsis and select the bank number where transactions were recorded.
- Work through your bank statement reconciling items individually or in bulk, for help see Reconcile Items in bulk or individually.
Note: For help completing the field, see Table 8: Reconcile items form field explained (Below).
Note: For help with invalid entries, see Bank Reconciliation errors. - When you have completed the fields, do one of the following to save the form entries:
- Click apply to add the item to the reconciled items grid as reconciled. If the item is a cheque, LawMaster locates the cheque file, flags it as reconciled, and updates the "reconciled" and "running bank balance" displayed on the form.
- Click OK to add the item directly to the bank reconciliation without reviewing in the reconciled items grid. The status bar confirms the item is reconciled.
Note: LawMaster highlights any invalid form entries with a red exclamation mark. Place your mouse over the exclamation mark to see an explanation. Correct any invalid entries and retry.
Next you can:
Run Bank Reconciliation Reports.
Table 8: Reconcile Items form field explained.
Field | Description |
Bank | Select the bank number where transactions were recorded. |
Statement Balance | Automatically populated from the last processed bank statement. |
Reconciled Total | Automatically populated from the sum of previously entered reconciled items. |
Balance | Automatically populated from the statement balance and reconciled totals. Check the balance is the same as the opening balance on the bank statement |
Reconciled Items | Displays the individual list of previously reconciled items. |
Reconciled Reference | Enter a bank reference number. Usually the date and page number of the bank statement. |
Item No. | Click the ellipsis and select an item reference number. It can be either a cheque number (leading zeroes not required), a deposit number e.g. "CS00123", a direct debit or credit number e.g. "DD0063", a receipt number, or a partial reference number. This identifier is the audit report number on which the relevant cash receipt transactions are listed. Notes:
|
Date | Automatically populated from the Item No. |
Details | Automatically populated from the Item No. |
Amount | Automatically populated from the Item No. |
You can also: enter a bank reconciliation transaction from the Main Menu > Accounting > Bank Reconciliation > Present Items. |
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