Page tree

Versions Compared

Key

  • This line was added.
  • This line was removed.
  • Formatting was changed.
HTML Wrap
classsection group
HTML
<span data-swiftype-index="true">
HTML Wrap
classcol span_3_of_5
UI Expand
expandedtrue
titleTo reconcile the account

To reconcile the account

  1. Go to the Banking command centre and click Reconcile Accounts. The Reconcile Accounts window appears.
    Reconcile accounts window 

  2. In the Account field, select the bank account you want to reconcile.
  3. In the Closing Statement Balance field, enter the closing bank balance as at the day prior to your conversion month (for example, the closing balance as at 31/12/2016).
  4. In the Bank Statement Date field, enter the first date of your conversion month. (For example, if your conversion month is January 2017, enter 01/01/17.) Your uncleared transactions appear. When you recorded uncleared transactions, the same account was debited and credited. Therefore, an uncleared transaction appears as both a deposit and a withdrawal.
  5. For each uncleared withdrawal, click the select column next to the deposit.
  6. For each uncleared deposit, click the select column next to the withdrawal. When each uncleared transaction is selected, $0.00 appears in the Out of Balance field.
    Reconcile accounts window with transactions selected and zero out of balance
  7. Click Reconcile. A confirmation window appears. If you want, do one of the following:
    • To print a report, click Print Report. When the report is printed, click Reconcile.
    • To reconcile without printing a report, click Reconcile.
    • To change any details you entered in the Reconcile Accounts window, click Cancel and make the required changes.

See Reconciling your bank accounts to learn more about:

  • reconciliation accounts you receive bank feeds for
  • manually reconciling
  • reconciling against imported bank statements (using the Get Statement function)
HTML
</span>
HTML Wrap
width15%
classcol span_1_of_5
 
HTML Wrap
floatleft
classcol span_1_of_5
Panelbox
namegreen
titleRelated topics
HTML Wrap
classsidebarlinks

1. Identify uncleared withdrawals and deposits

2. Record uncleared withdrawals and deposits

Your first bank rec

Reconciling your bank accounts

Resolving out of balance bank reconciliations

Panelbox
nameyellow
titleTroubleshooting
HTML Wrap
classsidebarlinks
HTML Wrap
classmorelinks
More »
Panelbox
nameyellow
titleFrom the community

RSS Feed
titleBarfalse
max5
showTitlesOnlytrue
urlhttp://community.myob.com/myob/rss/search?q=reconcile&filter=labels%2Clocation%2CsolvedThreads&location=category%3AAccountRight&search_type=thread&solved=true

HTML Wrap
classmorelinks

More »