Bank Reconciliation Posting Journal Screen

Overview

Note: Depending on how your system is set up, this desktop screen may also be available as a web screen. For more information, see the Web Screens Getting Started Guide or the help for Sage 300 web screens.

The Bank Reconciliation Posting Journal is an audit trail of all transactions posted during bank reconciliation.

It includes checks and deposits that cleared the bank, as well as entries that Bank Services created to account for clearing differences, exchange gains and losses, and bank errors. All transactions are shown in the bank's statement currency.

When to Print

Print this report after posting a reconciliation, and keep it as part of your audit trail.

Information Printed on This Report

The Bank Reconciliation Posting Journal includes the following information: