Index

If you’re reconciling a bank account, the bank fee will be recorded as a Spend Money transaction assigned to the cheque account you’re reconciling. (If the account you’re reconciling is a non-bank account, the bank fee will be recorded as a General Journal transaction.)
The ID number assigned to the transaction begins with SC and includes the bank statement date you’ve entered in the Reconcile Accounts window. Verify the date and enter the account to which you want to allocate the charges (usually an expense account).
If the account you’re reconciling is a bank account, the interest will be recorded as a Receive Money transaction assigned to the cheque account you’re reconciling. (If the account you’re reconciling is a non-bank account, the interest will be recorded as a General Journal transaction.)
The ID number assigned to the transaction begins with IE and includes the bank statement date you’ve entered in the Reconcile Accounts window. Verify the date and enter the account you want to allocate the bank interest to (usually an income account).
Field Descriptions
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