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Select the Reconcile Bank Statements option if reconciliation of bank statements with internal documents is required for this bank account. 

Also, use the The Bank Reconciliation Start Date field to field becomes available and required once the Reconcile Bank Statement option is selected. By default, the field is populated with the current date. In this field, specify the date starting which reconciliation is required.from which the internal bank documents will be available for reconciliation. 

Account Additional Information

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