This shows you the differences between two versions of the page.
| Both sides previous revisionPrevious revisionNext revision | Previous revision | ||
| academy:business_bankreconciliation_setupandrunbankrecon [2022/05/09 16:12] – emoreno | academy:business_bankreconciliation_setupandrunbankrecon [2022/06/29 13:23] (current) – emoreno | ||
|---|---|---|---|
| Line 5: | Line 5: | ||
| </ | </ | ||
| - | <WRAP round intro> | + | <WRAP round intro> |
| - | This guide allows you to complete the following Bank Reconciliation tasks: | + | This document |
| * Set up bank reconciliation options. | * Set up bank reconciliation options. | ||
| Line 17: | Line 17: | ||
| * Print reports as needed. | * Print reports as needed. | ||
| - | Some of the images and examples provided in this document are for informational purposes and may not completely represent your LEA’s process. | ||
| - | This guide assumes you are familiar with the basic features of the ASCENDER Business system and have reviewed the [[academy: | + | This document |
| </ | </ | ||
| + | {{page> | ||
| + | |||
| + | ---- | ||
| [[general: | [[general: | ||
The Texas Computer Cooperative (TCC) is committed to making its websites accessible to all users. It is TCC policy to ensure that new and updated content complies with Web Content Accessibility Guidelines (WCAG) 2.0 Level AA. We welcome comments and suggestions to improve the accessibility of our websites. If the format of any material on our website interferes with your ability to access the information, use this form to leave a comment about the accessibility of our website.