Get Even More Visitors To Your Blog, Upgrade To A Business Listing >>

Acumatica ERP: “Lessons Learned” No. 2: How to Reconcile Bank Statement in Acumatica

To Reconcile Bank statements in Acumatica, please follow the following steps:

  1. Go to Finance,
  2. Select Cash Management and Reconciliation Statements in Acumatica
  3. Put in applicable bank account to reconcile the date to bring in data. This typically defaults to today’s date or you can input period end if that is how you reconcile.

Illustrated as below:

The post Acumatica ERP: “Lessons Learned” No. 2: How to Reconcile Bank Statement in Acumatica appeared first on Advanced Solutions & Consulting, Co..



This post first appeared on Acumatica ERP Implementation - Advanced Solutions And Consulting -, please read the originial post: here

Share the post

Acumatica ERP: “Lessons Learned” No. 2: How to Reconcile Bank Statement in Acumatica

×

Subscribe to Acumatica Erp Implementation - Advanced Solutions And Consulting -

Get updates delivered right to your inbox!

Thank you for your subscription

×