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Step 3 - Reconcile The Bank
You will do the following one statement at a
time. If a statement consists of 2 or more pages, it should be
reconciled as 1 statement:
Open Cash Management by pointing mouse and click
reconcile bank.
Highlight the bank you want to reconcile and
click transactions.
The reconcile screen will appear. Using tab to
move between fields fill in the following:
Page Number
Statement page number.
Statement Start Date
The start date of statement.
Ending Date
The ending date of the statement.
Starting Balance
Statement beginning amount.
End Balance
Statement ending amount.
Click OK
The next screen is the reconciliation screen.
Note the field "out of balance amount". This the difference between
your starting statement amount and the ending statement amount. The
statement has been fully reconciled when this field is zero.
Click the Transactions tab.You will now be in the
transactions screen.
If you prefer to use the keyboard instead of the
mouse the hot key (the letter with the underline) can be used with
the ALT key.
Starting from the top of your bank statement find
the first transaction and double click theR column. Alternatively you can click the transaction to highlight it and
then click the Reconcile
button.
A tick will appear in the R (reconcile)
column beside the transaction.
Continue until all the transactions on the bank
statement have been reconciled.
A deposit on your bank statement will be one
amount, but it will be made up of separate transactions in Cash
Management.
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