Difference between revisions of "How do I set a nominal centre to be reconciled?"

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== Summary ==
 
== Summary ==
 
Using the Bank Reconciliation option, you can reconcile {{NL}} codes other than Z992 (Current Bank Account). This article explains how to set up other {{NL}} codes to be reconciled.
 
Using the Bank Reconciliation option, you can reconcile {{NL}} codes other than Z992 (Current Bank Account). This article explains how to set up other {{NL}} codes to be reconciled.

Revision as of 14:04, 5 September 2014

Summary

Using the Bank Reconciliation option, you can reconcile Nominal Ledger codes other than Z992 (Current Bank Account). This article explains how to set up other Nominal Ledger codes to be reconciled.

More Information

Go to " Systems\Accounts Nominal Ledger Maintenance Options Centre Maintenance Insert\Amend\Delete Centres".

  • Find the centre that you wish to reconcile and press <Enter>.
  • Click on the "Reconciled" box to the right of the "Description".
You can only use the Bank Reconciliation on Nominal Ledger Codes set up using "Asset/Liability" option, and it will only look at Sales Ledger receipts and Purchase Ledger payments.
There are certain Nominal Codes that are reserved for the system. These are centres with codes of Z950 and above. If you wish to reconcile one of these codes, please Contact your Platinum dealer or our support team on 0116 230 1500 or by using our website support contact page.
  • Press <Esc> and [Accept].

You will now be able to reconcile this centre.

See also


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Keywords AND Misspellings
Reconciled, reconciliation, petty, cash, cash in hand
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