Activity Codes for Reconciliation

Revised: 6/2021

 

 

a.  1 – Bank Balance:  This is the ending bank balance.  By selecting this option you will be able to enter in an ending bank balance for a specific date.

b.  2 – Deposit not in Bank:  This will allow you to enter in any deposits posted from the Cash Receipts area that are not showing in the check reconciliation display.  This could occur if the selection to post cash receipts to a check reconciliation area was not activated.

c.  3 – Outstanding Check:   This will allow you to enter in any outstanding checks that are not showing in the check reconciliation display.

d.  4 – Service Charge/Adjustments:  This will allow you to enter in the activity for journal entries if needed.

e.  0 – General Ledger Cash Account:  This option will allow you to add the specific general ledger cash account(s) that are used for each check reconciliation group.  When this option is selected the cash accounts can be added that are in the “Ledger Interface” cash account setup or individual cash account(s) can be added for each reconciliation group.

 

NOTE:     The process of adding the general ledger cash accounts to each check reconciliation area will allow you see on the check reconciliation display screen if the “Reconciled Balance” and the “Cash Account(s)” agree.