Running the Bank Reconciliation Report
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Open the Bank Reconciliation Report.
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Use these check boxes to specify the details you want to include
in the report:
- Include Void Checks?
- Select this check box to print lines on the report to show
the checks that have been voided. The voided checks do not contribute to
account and bank balance calculations.
- Include Reconciled?
- Select this check box to print both reconciled and
unreconciled transactions. Otherwise, the report shows only unreconciled
transactions. The running balances print next to the transactions.
- Display Reason Codes
- Select this check box to print the bank reconciliation reason
codes on the report.
- Display Reference Fields
- Select this check box to print the reference name on the
report.
- Sort By
- Select the manner in which to sort the report:
-
Number: Sorts the report in
increasing order by transaction number.
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Date: Sorts the report in increasing
order by transaction date.
-
Type: Sorts the report by type of
bank record.
-
Type/Date: Sorts the report by type
of bank record and transaction date.
- Display Report Header
- Select this check box to include report headers in the
output.
-
Use these check boxes to select the types of transactions to
include in the report:
- Check
- Deposit
- Manual
- Other
- Direct Deposit
- Wire
- Standard Draft
- Incoming Draft
- Customer
- EFT
-
For these fields, select the range of values to include in the
report:
- Bank Code
- Transaction Date
- Transaction
-
Select Increment Date to
automatically increment the date range and re-run the report.
-
Click
Preview to view the
output before printing.
-
Click
Print to run the report
and view the output.