entrée V3 System Guide

Bank Reconciliation Balances

Hide Navigation Pane

Bank Reconciliation Balances

Previous topic Next topic  

Bank Reconciliation Balances

Previous topic Next topic JavaScript is required for the print function Mail us feedback on this topic!  

These controls are informational only and cannot be edited. These balance amounts are updated when you apply transaction status changes to the bank reconciliation file.

 

Bank

Shows the amount of all checks and receipts that are marked as cleared. This amount includes the amount from the balance forward transaction.

 

Open

Shows the amount of all checks and receipts that have not been cleared.

 

Book

Shows the sum of the Bank and Open amounts, and provides a more accurate amount of your current bank balance.

 

Bank + Open = Book