Opening a set of accounts for a retail company (including VAT)
Do not print or update payments batch.
8.43 Bank Reconciliation (enter additional information in payments/receipts)
Date Entry/transaction date Reference BS2/01 (Bank Statement number/ first entry) aſter entering the amount Press upwards arrow on keyboard to go back to the line Press F7 Click OK to reconcile the entry In the ‘R’ column a ‘Y’ will appear Reconcile all the other entries from the Bank Statement Do not print or update