Bank Reconciliation allows you to reconcile your bank statements against information stored in Accounts Payable. When you receive your bank statement, you compare the statement to the reconciliation transactions and void or clear checks, deposits and charges to keep your checking accounts accurate.

 

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Use menu path: Accounting > Accounts Payable > Bank Reconciliation.

 

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Go to the Vendor ribbon menu A/P Transaction section and select Bank Reconciliation.