Bank Services > Reconciling Bank Accounts > Posting Bank Reconciliations

Posting Bank Reconciliations

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Bank Deposits Status Screen

Bank Options Screen

Bank Reconciliation Posting Journal Screen

Bank Withdrawals Status Screen

To post bank reconciliations:

  1. Open More > Bank Services > 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.