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| academy:business_bankreconciliation_setupandrunbankrecon [2020/11/24 14:35] – emoreno | academy:business_bankreconciliation_setupandrunbankrecon [2022/06/29 13:23] (current) – emoreno | ||
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| - | <WRAP round intro> The Bank Reconciliation application is used to retrieve transactions from Human Resources | + | <WRAP round intro> |
| - | + | This document | |
| - | ++++About Bank Reconciliation|{{page> | + | |
| - | + | ||
| - | + | ||
| - | This guide allows you to complete the following Bank Reconciliation tasks: | + | |
| * Set up bank reconciliation options. | * Set up bank reconciliation options. | ||
| Line 22: | Line 18: | ||
| - | This guide assumes you are familiar with the basic features of the ASCENDER Business system and have reviewed the [[: | + | This document |
| </ | </ | ||
| + | {{page> | ||
| + | |||
| + | ---- | ||
| [[general: | [[general: | ||
| Line 31: | Line 30: | ||
| - ++Select bank reconciliation options.|{{page> | - ++Select bank reconciliation options.|{{page> | ||
| - | - ++Set up the bank account group code table.|{{page> | + | - ++Set up the bank account group table.|{{page> |
| - ++Add the bank account group funds.| {{page> | - ++Add the bank account group funds.| {{page> | ||
| + | |||
| + | ---- | ||
| =====Customize Your Bank Reconciliation Layout===== | =====Customize Your Bank Reconciliation Layout===== | ||
| - | - ++Define | + | - ++Define categories. |{{page> |
| - | - ++Organize the bank reconciliation | + | - ++Organize the layout template.| {{page> |
| + | |||
| + | ---- | ||
| =====Manage Transactions===== | =====Manage Transactions===== | ||
| + | |||
| + | <WRAP center round tip> | ||
| + | **TIP**: You can use the [[bankreconciliation: | ||
| + | </ | ||
| - ++Create transactions.| {{page> | - ++Create transactions.| {{page> | ||
| - ++Perform transaction maintenance.|{{page> | - ++Perform transaction maintenance.|{{page> | ||
| - | <WRAP Box> | + | ---- |
| - | </ | + | |
| =====Reconcile Transactions===== | =====Reconcile Transactions===== | ||
| - | ++++Reconcile bank transactions.|{{page> | + | - ++Reconcile bank transactions.|{{page> |
| - | <WRAP Box> | + | ---- |
| - | **Note**: You have the option to save your work as pending or finalize the reconciliation process. | + | |
| - | </ | + | |
| =====Other Bank Reconciliation Tasks===== | =====Other Bank Reconciliation Tasks===== | ||
| - | ++++Process an auto bank reconciliation.|{{page> | + | - ++Process an auto bank reconciliation.|{{page> |
| - | + | | |
| - | ++++Perform an inquiry.|{{page> | + | |
| - | + | ||
| - | ++++Mass delete transactions.|{{page> | + | |
| + | ---- | ||
| =====Bank Reconciliation Reports===== | =====Bank Reconciliation Reports===== | ||
| - | ++++BBR0100 - Bank Account Fund Groups|{{page> | + | - ++BBR0100 - Bank Account Fund Groups|{{page> |
| - | + | | |
| - | ++++BBR0200 - Bank Transactions|{{page> | + | |
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