Client Login

Bank Reconciliation

 

 The bank reconciliation system allows you to reconcile an account defined as a bank account in the COA.   The bank reconciliation system receives postings from the cash receipts processing, accounts payables, payroll and journal entry systems. 

 

  • View open items on one screen.
  • Point and click to select cleared items.
  • Report on both cleared and un-cleared items during bank reconciliation processing.
  • Allows you to save work in progress and return at a later time to continue processing where you left off.
  • Look up for open, cleared or voided items. 
  • Adjustment utility to re-open an item, clear or void an item after the fact to correct mistakes.
  • Bank account transfer utility allows moving funds easily from one bank account to the other.
  • Report by range of dates for open, cleared and voided items.