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About Bank Reports

Using the Bank Reconciliation Report

The Bank Reconciliation report displays the result of the last posted bank reconciliation for each bank included in the report. It explains the difference between the bank statement and company records.

Information on the report

To print the report

  1. From the Navigation Pane, select Reports > Payroll > Bank Reports > Bank Reconciliation.
  2. Use the From Bank Code and To Bank Code fields to specify the range of banks to include in the report.
  3. Select the Print Deposit Details option to print details about each receipt that made up the deposit. Do not select the option if you want to see only totals for deposits that have Outstanding or Cleared with Bank Error status.
  4. Click Print.