Posting Bank Reconciliations

You can post reconciliations using either the Post Reconciliation screen or the Reconcile Statements screen.

To post bank reconciliations from the Post Reconciliation screen:

  1. Open Bank Services > Bank Transactions > Post Reconciliation.

  2. Select All Banks to post all current reconciliations, or select Range.
  3. If you selected Range, use the From and To fields to specify the range of banks for which to post current reconciliations.
  4. Click Post.

To post bank reconciliations from the Reconcile Statements screen:

  1. Open Bank Services > Bank Transactions > Reconcile Statements.

  2. Create a reconciliation. For more information, see Reconciling a Bank Account.
  3. Click Post.