Once the bank statements are correctly imported, it is essential to reconcile the records properly and ensure all Journal Entries are balanced and in agreement. To ease and speed up the reconciliation process, you can configure Reconciliation Models, which are particularly useful with recurrent entries such as bank fees. There are three types of Reconciliation […]
Once the proper creation or import of bank statements is done, then we need to reconcile the bank statement records and ensure that the entries are balanced. Reconciliation process can be made much easier and faster with the help of reconciliation models. We can configure the reconciliation models in accounting – configuration – reconciliation models […]