📁Bank Reconciliation

▶️How To Complete A Bank Reconciliation

1. Click on Bank Reconciliation. In the main navigation menu, select the "Accounting" module and click on Bank Reconciliation. 2. Enter Statement Balance. Select book period, cash account, type of ch…

Matt Staff
Updated by Matt Staff

▶️How To Create A Bank Deposit

Combine cash receipts to a single bank deposit that ties out to your bank reconciliation. 1. Click on Bank Deposit. In the main navigation menu, select the Accounting module and click on Bank Deposit…

Matt Staff
Updated by Matt Staff

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