Overview
Bank Statement refers to the statement sent by bank showing the past transactions regarding deposits, withdrawals and standing balance as on the date specified.
Navigation
Treasury Management ► Bank Reconciliation ► Bank Statements
Bank Statement screen fields and Tab
Fields | Description |
Fiscal Year | Fiscal year to which Bank Statement relates. |
Fiscal Period | Fiscal period to which Bank Statement relates. |
Reconciliation Source | Reconciliation Source is to be selected which defines the Treasury Bank Account for which reconciliation process is carried on. |
Treasury Bank Account | Treasury Bank Account for reconcililation is made. |
Treasury Bank Account Number | Treasury Bank Account number for reconcililation is made. |
Financial Institution Name | The name of the financial institute |
Batch Number | Batch number of Bank Statement. |
Start Date | Start date of bank statement. |
End Date | End date of bank statement. |
Opening Balance | Opening balance of account. |
Closing Balance | Closing balance of account. |
Total Debit | Total debit balance. |
Total Credit | Total credit balance. |
Bank Statement Fiscal Year | Fiscal year of the bank statement. |
External Batch ID | External batch Id of bank statement. |
Reference Number | Reference number of bank statement. |
File Name | File name of Bank statement which is to be imported. |
Imported By | By whom file is imported. |
Import Date | Date of import of file. |