This report is a list of all deposits (including transfers) that are currently in transit for the bank account being reconciled.
Print this report before posting a bank reconciliation, to maintain an audit record of all deposits that have been printed by the subledgers. If the report shows any deposits that need to be posted, you should post them before proceeding with bank reconciliation.
Note: The Deposits Status report contains deposit information for the current reconciliation that is not available after you post the reconciliation. Therefore, be sure to print the Deposits Status report before posting a bank reconciliation.
You can use the Deposit Register or the Transaction History Inquiry window to look up deposit information for posted reconciliations.
You can select:
Not Posted status is used for:
Once you post a bank entry or a deposit batch, its status changes to Outstanding.
A deposit (receipt batch) or transfer that has been posted but not cleared has Outstanding status.