Menu Path: Cash Management Inquiries Bank Reconciliation Transaction Inquiry
View reconciled bank transactions.
Use Bank Reconciliation Transaction Inquiry to display a list of reconciled bank transactions (transactions cleared during the bank reconciliation process). For information on the bank reconciliation process, see Bank Reconciliation.
Button |
Description |
Exit |
Click this button to close the Bank Reconciliation Transaction Inquiry window. |
Show Data |
Click this button to display bank reconciliation transactions on the Results tab based on the selected criteria on the Select tab. |
Field or Button |
Description |
Select the type of bank reconciliation transactions you want to display. |
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Select this check box to display bank reconciliation transactions for all cleared dates. This check box is selected by default. |
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Enter the first date in a range of cleared dates for which to display bank reconciliation transactions, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Cleared Dates check box. |
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Enter the last date in a range of cleared dates for which to display bank reconciliation transactions, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Cleared Dates check box. |
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Select this check box to display bank reconciliation transactions for all deposit, payment, or adjustment dates. This check box is selected by default. |
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Enter the first date in a range of deposit, payment, or adjustment dates for which to display bank reconciliation transactions, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Deposit Dates, All Payment Dates, or All Adjustment Dates check box. |
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Enter the last date in a range of deposit, payment, or adjustment dates for which to display bank reconciliation transactions, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Deposit Dates, All Payment Dates, or All Adjustment Dates check box. |
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Select this check box to display transactions for all bank reconciliation descriptions. This check box is selected by default. |
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Enter a bank reconciliation description for which to display transactions, or click the Lookup button to select a bank reconciliation description. If you want to display bank reconciliation transactions for a range of bank reconciliation descriptions, enter the first bank reconciliation description in the range. This field is only enabled if you clear the All Bank Reconciliation Descriptions check box. |
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Enter the last bank reconciliation description in a range of bank reconciliation descriptions for which to display transactions, or click the Lookup button to select a bank reconciliation description. If you want to display bank reconciliation transactions for a single bank reconciliation description, you can leave this field blank. This field is only enabled if you clear the All Bank Reconciliation Descriptions check box. |
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Select this check box to display bank reconciliation transactions for all statement dates. This check box is selected by default. |
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Enter the first date in a range of statement dates for which to display bank reconciliation transactions, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Statement Dates check box. |
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Enter the first date in a range of statement dates for which to display bank reconciliation transactions, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Statement Dates check box. |
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Select this check box to display bank reconciliation transactions for all cash accounts. This check box is selected by default. |
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Enter a cash account for which to display bank reconciliation transactions, or click the Lookup button to select a cash account. If you want to display bank reconciliation transactions for a range of accounts, enter the first account in the range. This field is only enabled if you clear the All Cash Accounts check box. |
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Enter the last cash account in a range of cash accounts for which to display bank reconciliation transactions, or click the Lookup button to select a cash account. If you want to only display bank reconciliation transactions for a single cash account, you can leave this field blank. This field is only enabled if you clear the All Cash Accounts check box. |
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Select this check box to display bank reconciliation transactions for all bank account currencies. This check box is selected by default. |
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Enter a currency to display bank reconciliation transactions for bank accounts associated with the currency, or click the Lookup button to select a currency. If you want to display bank reconciliation transactions for bank accounts associated with a range of currencies, enter the first currency in the range. This field is only enabled if you clear the All Bank Account Currencies check box. |
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Enter the last currency in a range of currencies to display bank reconciliation transactions for bank accounts associated with the currencies, or click the Lookup button to select a currency. If you want to display bank reconciliation transactions for bank accounts associated with a single currency, you can leave this field blank. This field is only enabled if you clear the All Bank Account Currencies check box. |
Field or Button |
Description |
This grid displays bank reconciliation transactions after you click the Show Data button in the ribbon. NOTE If you are viewing deposits that were summarized by batch during the bank reconciliation process, the deposits are summarized by batch in this grid. To drill down to the details of the individual deposits for a deposit date or batch, double-click the total deposit, or click the down arrow button. |