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:
- Bank reconciliation report
Using the ellipsis select the Bank No. from the list, then add in the Date To, Year and Period. - List reconciled items report
Using the ellipsis, select the Bank No. and the Date To. to search up to a date range. - List unreconciled items report
Next you can:
Audit Reconciled Items.
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