Summary
How to perform Account Reconciliation in Sage 50 Accounting.
Resolution
NOTE: You’ll need to post your accounts to the General Ledger before you reconcile if you are in batch posting.
- Select Tasks, and then click Account Reconciliation.
- Select the Account to Reconcile from the list.
- Enter the Statement Date from your bank statement.
- If reconciling your Credit Card - enter the statement ending balance as a negative number. See How can I record credit card purchases for my business? for more information
- Click the up arrows button on the lower left to expand the bottom section.
- Enter the Interest Income, Service Charges, and then enter the Statement Ending Balance from your bank statement.
- Interest Income and Service Charges must be dated within the month of the selected statement date
- Clear all the transactions from your bank statement.
- When complete, click OK.