Use this procedure to manually create and maintain bank statements. After you manually
create bank statements, you can also reconcile them.
Bank statements are automatically created when the bank statement import is successful. See the
Financials Setup and Administration Guide.
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Select .
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Click Manually Create
Statement.
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Specify the Statement Date. On a previous day bank statement, the date that
is displayed is for the business day after transactions were presented to the
bank.
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Select the cash account.
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On the Statement
Balances tab, specify the ending balance.
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Click Save.
The Currency,
Statement
Status, and Posting Status fields are automatically filled.
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To match and reconcile transactions, click one of these options:
- Reconcile By
Statement: Use for a specific statement
- Reconcile By
Account: Use for all bank statements in a bank
account