Modify an Account Reconciliation Report
        
        
Account Reconciliation 
 Summary
        
        
            
                - In the Home window, 
 open the Report Centre. Select Banking, 
 and then Account Reconciliation Summary. 
 Click Modify this report.
 
                - (Optional) Select 
 the Template 
 you want to use for the report.
 
                - Select an Account from the list.
 
                - Enter Start 
 and Finish dates for the report.
 
                - Select the order 
 of the report results:
				
- Statement 
 end date
 - Reconciliation 
 date
 
 
                - (Optional) Select 
 Show transactions entered after reconciliation.
 
                - (Optional) Customize 
 the:
                
 
                - (Optional) Save the report as a template in My 
 Reports.
 
                - Click OK 
 to display the report.
 
            
         
        
Account Reconciliation 
 Detail
        
        
            
                - In the Home window, 
 open the Report Centre. Select Banking, 
 and then Account Reconciliation Detail. Click 
 Modify this report.
 
                - (Optional) Select 
 the Template 
 you want to use for the report.
 
                - Select an Account from the list.
 
                - Enter Start 
 and Finish dates for the report.
 
                - (Optional) Select 
 Group by deposit number.
 
                - Select the order 
 of the report results:
				
- Statement 
 end date
 - Reconciliation 
 date
 
 
                - (Optional) Select 
 Show transactions entered after reconciliation.
 
                - (Optional) Customize 
 the:
                
 
                Note: If you display this report from the Report menu on the Reconciliation & Deposits window, only the Printer and Font options will be available.
                - (Optional) Save the report as a template in My 
 Reports.
 
                - Click OK 
 to display the report.
 
            
         
        
Account Reconciliation 
 Summary with Outstanding Transactions Detail
        
        
            
                - In the Home window, 
 open the Report Centre. Select Banking, 
 and then Account Rec. 
 Summary with Outstanding Trans. 
 Detail. Click Modify this report.
 
                - (Optional) Select 
 the Template 
 you want to use for the report.
 
                - Select an Account from the list.
 
                - Enter Start 
 and Finish dates for the report.
 
                - Select the order 
 of the report results:
                
- Statement 
 end date
 - Reconciliation 
 date
 
 
                - (Optional) Select 
 Show transactions entered after reconciliation.
 
                - (Optional) Customize 
 the:
                
 
                - (Optional) Save the report as a template in My 
 Reports.
 
                - Click OK 
 to display the report.
 
            
         
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