Running the Bank Reconciliation Report
Run the Bank Reconciliation (PR155) to perform a periodic reconciliation. Included in the report are the payment number, payment date, date cleared, employee name and number, issued amount, and the cleared, voided or open amount. The report provides totals by payment type.
Payments voided on Manual Payment Reservation (PR81.1) appear on this report.
To run the bank reconciliation report
Related Reports and Inquiries
To | Use |
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List all payments issued for a specific date range. | Payment Register (PR162)) |