1.800.949.3330 m-f 8:30am - 5:00pm EST
Pro Gold i2 Online User Manual
Chapter 26 - Bank Reconciliation Process
To start a reconciliation:
First reconciliation:
- Manually enter period Start Date
- Verify/enter period End Date
- Click New Period button
- Click OK to the prompt to add all cleared transactions to current period
Subsequent recons (Once period dates established): Click New Period
Enter statement Ending Balance
Verify/modify period End Date (Do not overlap recon dates!!!)
Verify/select filter option (default is Outstanding)
Verify/select transaction filter option (default is All)
Reconcile transactions from your bank statement
Once all transactions are cleared and the Unresolved Difference is zero, you have successfully completed the recon
Lock the period (Place check in the Lock Period box)
Print reports for documentation
Pro Gold i2 Links