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bankreconciliation:reports:bankreconciliationreports:banktransactions

BBR0200 - Bank Transactions

Bank Reconciliation > Reports > Bank Transactions

This report is used to review all of the items that were reconciled within a particular bank account. It provides a list of bank account group codes and associated bank transactions (cash receipts, checks, and journal vouchers). If you need a detailed report for a particular fund and month, refer to the actual Bank Reconciliation and locate the reconciled account to see if the account was Reconciled or Unreconciled.

Parameter Description
Bank Account GroupType the bank account group code to be used. If the bank account group code is not known, click . The Bank Account Grp lookup is displayed.

❏ Click Export PDF to export the report in PDF format.

❏ Click Export CSV to export the report in CSV format.

❏ Click Clear Options to clear the report parameter data.

bankreconciliation/reports/bankreconciliationreports/banktransactions.txt · Last modified: 2020/08/04 20:37 by emoreno