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A Bank Reconciliation document is created when you need to reconcile the statement received from your bank with internal bank documents for the same financial period.

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  1. Please check if the Reconciliation Option is enabled and the Reconciliation starting period is specified in Settings.
    Go to Administration > Settings > Money

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      2. Check if the document with the amount entered in Bank Statement as Payment/Deposit is posted to the correct Bank Account and with Correct figures.

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     3. Check if the document is not already matched in other Reconciliation document. For this, go to Reconciliation Statuses of Bank Documents blue link in the header of Bank document:

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4. If you posted a Bank Reconciliation once, the matched documents will not appear in other Reconciliation documents.

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