Reconcile an Account for
the First Time
Before you can perform this task
- Find the most recent
statement for the Bank or Credit Card account you want to reconcile. If
you have never reconciled this account, find all the statements you have
received for it.
- Open the Reconciliation & Deposits window. How?
- In the Home window, click Banking on the navigation pane.
- In the Tasks pane, click the Reconcile Accounts icon.
- Select the account
that you are going to reconcile.
- Enter the Statement Start and End dates
(from the statement you are reconciling), and then enter the Reconciliation
date.
Note: If you are reconciling
more than one statement for the account, you can reconcile them together
or separately. If there are several statements, it is easier to reconcile
them separately, starting with the oldest one.
- Enter the Statement Opening and End
balances.
- Select the Transactions tab, and click Add
Prior Outstanding.
- Enter a date to
Show Resolved Transactions On Or After. If
you know the date of your oldest outstanding transaction for this account,
choose that date; otherwise, accept the default date.
- (Optional) Select
a sort method for the transactions from the list. The Order
of Entry option sorts transactions in the order in which you originally
entered them.
- Select the transactions
that were still outstanding on the start date of your bank or credit card
statement, and click Add to move them to
the Outstanding Transactions table. Click
Add All if all listed transactions were outstanding.
(Optional) Change the Show Resolved
Transactions date to find other transactions.
- If you have performed
any transactions that you have not recorded in Sage 50 Accounting, click
Insert Outstanding to add these amounts manually.
- (Optional) Display
the reports in the Report menu. It's a good idea to print these Account Reconciliation
Transaction reports (Resolved or Outstanding transactions or both)
to save in your account reconciliation files.
These reports provide a list of the transactions cleared
and outstanding and can be used to verify data entry against your bank
records.
- Click OK
and then Process.
You are now ready to complete
an account reconciliation.