Account Reconciliation Status Options
When you are reconciling
an account, change each adjusted
entry's status to one of the following:
Deposit Error
For deposits that the bank or merchant statement
entered as different than the amounts you recorded in the account in Sage 50 Accounting, enter an adjustment for the amount of the error. Then clear
the adjustment and assign it the Deposit Error status, and assign the
original transaction the Cleared status.
Payment Error
For cheques or other payments you issued
that the bank or merchant statement entered as different amounts on than
the amounts you recorded in the account in Sage 50 Accounting. Process
an adjustment for the amount of the error. Then clear the adjustment and
assign it the Payment Error status. Assign the original transaction the
Cleared status.
NSF
For customer cheques returned by the bank because
of insufficient funds in the customer's account, enter an adjustment,
and assign to it the Adjustment status.
Reversed
For cheques that you cancelled with
a reversing transaction in the Payments, Receipts, Purchases, Orders, and Quotes or Sales, Orders, and Quotes windows, assign the Adjustment
status to the reversing transaction you made to cancel the cheque.
Void
For cheques cancelled because they were
damaged during printing, or for other reasons, assign the Adjustment status
to the reversing transaction you made to cancel the cheque.
Adjustment
For transactions you processed as adjustments
in other windows, such as a reversing transaction for a NSF cheque.