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Step 4 - Running A Bank Statement
Report
Do the following:
Select Reports... from the Section Menu
Click On Cash Management on the Section List
Double-click on Bank Statements.
Bank Account
This may default to your bank code, but if not
type the code here.
From statement page:this
should present the last reconciled page.
Print this report. Your balance at the bottom of
the report should equal the balance on your actual bank
statement.
The first month you do the bank reconciliation in
CAPITAL you will probably have cheques presented on your bank
statement that are not in CAPITAL. You will have to manually add
these to CAPITAL's bank statement to confirm that the print out
balances to your actual bank statement from the bank.
Now you are ready to do the next page until you
come to the end of the month.
If your last bank statement for the month has for
example July and August transactions, you will reconcile the page
up to the end of the month only because you need to finalise July
before going on to August.
When this task is completed go onto step 5.
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