User Tools

Site Tools


Sidebar

Table of Contents

academy:business_overview_guide_bankreconciliation

This is an old revision of the document!


QuickGuide: Set up and run the Bank Reconciliation Process

The Bank Reconciliation application is used to retrieve transactions from Human Resources and Finance in order to reconcile cash on the books to the bank balance.

About Bank Reconciliation

This quickguide allows you to complete the Bank Reconciliation tasks:

  • Set up bank reconciliation options.
  • Set up bank tables.
  • Review and update bank reconciliation layouts.
  • Create transactions.
  • Create a bank reconciliation.
  • Reconcile items and finalize bank reconciliation.
  • Print reports as needed.

For more detailed information about individual fields, please see Help in TxEIS Bank Reconciliation.

This guide assumes you are familiar with the basic features of the TxEIS Business system and have reviewed the TxEIS Business Overview guide.

Set up Bank Reconciliation Options and Tables

  1. Select bank reconciliation options.
  2. Set up the bank account group code table.
  3. Add the applicable fund codes and fund years to each bank account group code.

Customize Your Bank Reconciliation Layout

  1. Define the categories (fields) to be used on the Bank Reconciliation page.
  2. Organize the bank reconciliation layout template.

Create Transactions

  1. Extract transactions from the Finance and Human Resources tables for bank reconciliation.
  2. Create, edit, and delete unreconciled data from the bank reconciliation transactions table.

Note: You can use the Auto Bank Reconciliation page to import a bank file with bank transactions. The imported bank transactions are saved as pending on the Transaction Maintenance page.

Reconcile Transactions

  1. Reconcile unreconciled bank transactions from the bank reconciliation transaction table.

Note: You have the option to save your work as pending or finalize the reconciliation process.

Other Bank Reconciliation Tasks

Perform an inquiry.

Mass delete transactions.

Bank Reconciliation Reports

academy/business_overview_guide_bankreconciliation.1539958434.txt.gz · Last modified: 2018/10/19 09:13 (external edit)