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academy:business_bankreconciliation_setupandrunbankrecon

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ASCENDER - 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 guide allows you to complete the following 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.

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

Bank Reconciliation Q & A

Set up Bank Reconciliation Options and Tables

  1. Select bank reconciliation options.
  2. Set up the bank account group table.
  3. Add the bank account group funds.

Customize Your Bank Reconciliation Layout

  1. Define categories.
  2. Organize the layout template.

Manage Transactions

  1. Create transactions.
  2. Perform transaction maintenance.

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 bank transactions.

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


Other Bank Reconciliation Tasks

  1. Process an auto bank reconciliation.
  2. Perform an inquiry.
  3. Mass delete transactions.

Bank Reconciliation Reports

  1. BBR0100 - Bank Account Fund Groups
  2. BBR0200 - Bank Transactions
academy/business_bankreconciliation_setupandrunbankrecon.1606239862.txt.gz · Last modified: 2020/11/24 12:44 (external edit)