Entering a Bank Reconciliation Statement
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Open the Input Bank Reconciliation Statement
form.
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Specify the Bank Code. The bank
currency is displayed.
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Specify the transaction date for the statement. A system-generated
sequence number is displayed.
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Specify a transaction amount from the bank reconciliation statement.
Use a positive number for a debit, or a negative number for a credit.
Repeat this step until all amounts are entered.
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Save your changes. The current balance is displayed.
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Optionally, click Print to print the
bank reconciliation statement records.