Bank Reconcilation
When you “Reconcile” Your “Business Bank Account“, You Compare your Internal Financial Records Against the Records Provided to you by your Bank. A Monthly Reconciliation helps you Identify any Unusual “Transactions” That Might be Caused By Fraud or Accounting “Errors“, And the Practice can also help you Spot “Inefficiencies“
- Go to “Accounts” >> “Bank Reconciliation“
- Choose the “Date” Range
- Click Load “Statement“
- Transaction details will be Loaded
- Click the “Upload” Button
- Choose the “Bank Statement” and Upload
- Enter the “Missing” fields Manually
- Click “Reconcile” Button