Advanced setup > Do an initial bank reconciliation > Task 3: Reconcile
Task 3: Reconcile
1
Go to the Banking command centre and click Reconcile Accounts. The Reconcile Accounts window appears.
2
In the Account field, select the bank account you want to reconcile.
3
In the New Statement Balance field, type the closing bank balance as of the day prior to your conversion month (for example, the closing balance as of 12/31/2011).
4
In the Bank Statement Date field, type the first date of your conversion month. (For example, if your conversion month is January 2012, enter 01/01/12.) Your uncleared transactions appear.
When each uncleared transaction is selected, $0.00 appears in the Out of Balance field.
7
Click Reconcile. A confirmation window appears.
To print a report, click Print Report. When the report is printed, click Reconcile.
To change any details you entered in the Reconcile Accounts window, click Cancel.

Click to show more information

Top of page