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Select Bank Reconciliation Main menu > Reconcile Bank. In the Reconcile Bank window, select the bank code, click the Checks tab, and then click Add Check.
Note The Add Check button is available only if the appropriate security is set up in Role Maintenance.
Use Bank Reconciliation Check Entry to enter on-the-fly checks when reconciling the bank in Reconcile Bank. Adding checks on the fly allows you to complete the process without interruptions.
Note You must use Check, Deposit and Adjustment Entry to delete checks entered in this task.
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