Post Entries

The Post Entries window provides a convenient way to post a range of bank entries all at once, rather than posting them one at a time using the Bank Entry window.

You can post only entries that fall within specified ranges of entry numbers, bank codes, and transaction dates, or you can post all unposted bank entries regardless of entry number, bank code, or transaction date.

Posted bank entries display on the Reconciliation tab of the Reconcile Statements window with Outstanding reconciliation status. Their amounts are included in the Deposits Outstanding or Payments Outstanding totals shown on the Summary tab.