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Retail ADVANTAGE Point of Sale Software Online Manual Section 8.9 |
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8.9 BANK RECONCILIATIONSELECT ACCOUNTS PAYABLE THEN BANK RECONCILIATION From the bank reconciliation screen found in ADVANTAGE
POS Software you can select a
bank Account and reconcile the bank activity in RETAIL BACKOFFICE with the
activity found on your bank statement. Once you select the bank account you will notice all
the not cleared bank transactions. You
should at that time enter a bank statement amount and date. The difference between the last statement balance and the
current statement balance is the not cleared amount.
You can select all the transactions on this list that are on your
bank statement. When completed
you should have the not cleared difference equal to zero then you can save
your changes and you would have completed your bank reconciliation. You may encounter the need to enter additional bank transactions or correct previous data entry in order the bank account to reconcile correctly. For the extra ordinary circumstances you could also enter a bank transaction for any amount that you can not clear, just make a special notation for the reason in the reference in the bank transaction.
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Retail ADVANTAGE Point of Sale Software Online Manual Section 8.9 Click Here to Go Back to Index of Retail ADVANTAGE Point of Sale Software Manual
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Support on Retail ADVANTAGE Point of Sale Software available 9 am - 5 pm CST Monday thru Friday Call us at 281-398-3770 Sales toll free at 888-785-0882 or e-mail us at support@aknaf.com |
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