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DrillDown Icon System Administrator
DrillDown Icon Security System
DrillDown Icon Trigger Setup
DrillDown Icon System Setup
DrillDown Icon Quick Start
DrillDown Icon Operations Manuals
DrillDown Icon Accounting Manuals
DrillDown Icon Accounting Setup
DrillDown Icon Accounts Receivable
DrillDown Icon Accounts Payable
DrillDown Icon Prerequisites
DrillDown Icon Introduction
DrillDown Icon PO Receipt Reconciliation
DrillDown Icon Manual A/P Entries
DrillDown Icon A/P Aging
DrillDown Icon Payment Sheduling
DrillDown Icon AP Offset
DrillDown Icon Debit Memo
DrillDown Icon Bank Reconciliation
DrillDown Icon Prerequisites
DrillDown Icon Fields & Descriptions
DrillDown Icon Summary
DrillDown Icon Deposits
DrillDown Icon Checks
DrillDown Icon Generate Automatic Deductions
DrillDown Icon How To .....
DrillDown Icon Reports
DrillDown Icon How to Process Credit Card Payments
DrillDown Icon FAQs
DrillDown Icon General Ledger
DrillDown Icon Accounting Transaction flow examples
DrillDown Icon FAQs - General Accounting
DrillDown Icon System Utilities
DrillDown Icon Definitions
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Checks Tab
 
 
Bank Name The name of the bank which was reconciled.
Account Title The G/L title for this bank.
Account Number The number that the bank has for this account.
Statement Date The date of the bank statement.
Checks The name of the Payee, the date of the check, teh check no, the amount and whether or not it’s cleared.
If the user wants all of the checks as cleared, this button is used.
The user highlights the first check and then uses this button to check all of the rest.
Checks Cleared per Bank This has forwarded from the Summary tab Information from Bank Statement
Checks Marked as Cleared  This is the sum of all checks checked in the Y/N column.
Difference   This is the difference between the checks that Cleared per Bank and the Checks Marked as Cleared. This should be zero.
Total Outstanding Checks  This is the sum of all of the checks listed which were not checked in the Y/N column.
 
Article ID: 2702