Bank Reconciliation Summary Report

Overview

This report shows the data from the Journal Voucher Items that correlate to or  not to a record (i.e is not reconciled) with a record in the Bank Reconciliation Items table, and also which Bank Reconciliation items that correlate or not with Journal Voucher Items.  The JV Items and Bank Reconciliation Items are then grouped according to type to display the Deposits section, the Cheque section and the Adjustments section.

The purpose of the "Bank Reconciliation Summary Report" is to display the Current Balance in the Bank and Unreconcilled transactions and the calculated balance.

 

Navigation

Treasury Management ►Bank Reconciliation ►Report ►Bank Reconciliation Summary Report

 

 

Bank Reconciliation Summary Report screen fields and Tab

FieldDescription

Fiscal Year

By default it shows the current fiscal year

Financial Institution

It provides the  User's Employee's Institution

Financial Institution Branch

It provides the  User's Employee's Institution branch.

Treasury Bank Account

Name of the associated Treasury Bank Account 

Comment

Comment regarding the report.