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How to reconcile a bank account

Created on  | Last modified on 

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. 

  1. Select Tasks, and then click Account Reconciliation.
  2. Select the Account to Reconcile from the list.
  3. Enter the Statement Date from your bank statement.
  4. Click the up arrows button on the lower left to expand the bottom section.
  5. 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
  6. Clear all the transactions from your bank statement.
  7. When complete, click OK.

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