Contents

Bank Reconciliation Reports

Caroline Buckland Updated by Caroline Buckland

Standard System Enquiries and Reports

Reconciliation Summary

Location: Main Menu > Bank Reconciliation > Bank Reconciliation Enquiries > Reconciliation Summary

Enter the Company and Bank you are looking to reconcile and click ok.

With the Enquiry Type set to Unreconciled Summary or Adjustment Summary you will see the view displayed below.

Use the Enquiry Type drop down in the Selection Screen, or using the buttons displayed to view other unreconciled transactions for relative to Miscellaneous GL Items, Unpresented Payments, Deposits not Banked or Bank Items Unreconciled.

Don’t forget you can customise and save any enquiries you use regularly to your Favourite Enquires for quick access

Ad Hoc Reports

Account Details - Ad Hoc View Report

Displays a list of Bank account statements and their respective closing balances.

The report is linked to Account Details - Ad Hoc View so you can take a copy, amend the fields and filters, and create a similar report that meets your requirements.

Note: This view is built against the Bank Reconciliation Domain.

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