Creating General Ledger Batches in Bank Services
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You use this procedure to send Bank Services transactions to the General Ledger, if Bank Services is configured to create G/L batches using the Bank Create G/L Batch screen.
Before you start
- Post the bank reconciliation, bank entries, and bank transfers.
- Print the related posting journals.
To create a General Ledger batch:
- Bank Services > Bank Periodic Processing > Create G/L Batch. Bank Services > Bank Periodic Processing > Create G/L Batch.
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Select a posting sequence number. More...
- Click Process.