Menu Path: Cash Management Reconciliation Bank Reconciliation
Verify monthly bank statements match deposits and payments in Apprise.
Use Bank Reconciliation to perform the monthly bank reconciliation process. This process allows you to verify that the balance for cash accounts in Apprise matches the actual bank account balance reflected on a monthly bank statement and to verify that every deposit, payment, and adjustment is accounted for.
If the balances do not match, you can determine the factors that are causing the difference. Common reasons that the balances may not match include the following:
Interest earned that is not recorded in the general ledger
Bank service charges that are not recorded in the general ledger
Deposits recorded in the general ledger, which the bank has not processed
Payments recorded in the general ledger, which were not cashed
Currency exchange gains and/or losses due to fluctuating exchange rates
After you have determined the transactions that are causing the differences, you can take actions to resolve the differences.
To perform the bank reconciliation process:
Click the New button in the ribbon.
Enter a description of the bank reconciliation record in the Bank Reconciliation Description field.
Enter the date of the bank statement in the Statement Date field.
Enter the general ledger account for the reconciliation in the Cash Account field.
Enter the ending balance displayed on the bank statement in the Ending Balance field in the Bank Statement Totals section.
If possible, enter the deposit, payment, and adjustment totals from the bank statement in the Deposit Amount Total, Payment Amount Total, and Adjustment Amount fields. This will allow you to compare the difference between the cleared amounts and the amounts from the bank statement in the Variance section.
If there is a currency exchange gain or loss for the cash account, verify the correct batch number, period, and year are entered.
Review each deposit or payment in the Deposits grid and verify it is listed on the bank statement, then select the check box in the Cleared column to mark each deposit as reconciled. You can also click the Clear All button in the ribbon to mark all deposits as reconciled, and then clear the check box in the Cleared column for deposits that are not reconciled. If necessary, use buttons in the Other group in the ribbon to account for deposits that you cannot reconcile.
Click the Payments tab, and repeat step 8 for payments.
Click the Adjustments tab, and repeat step 9 for adjustments (general ledger journal entries to the cash account).
Click the Print Options tab, and select options for outputting the Bank Reconciliation Detail report that will output when you complete the bank reconciliation process.
When the bank statement is fully reconciled, click the Complete Bank Reconciliation button in the ribbon.
Note If at this time you cannot fully reconcile the bank statement, click the OK button to save any changes you have made to the bank reconciliation record. You can then continue the process later until it can be completed.
Button |
Description |
Exit |
Click this button to close the Bank Reconciliation window. |
New |
Click this button to create a new bank reconciliation record. |
Update |
Click this button to update the selected bank reconciliation record. Note You cannot update a bank reconciliation record after it is marked as completed. |
Delete |
Click this button to delete the selected bank reconciliation record. |
First |
Click this button to display the first bank reconciliation record. |
Prev |
Click this button to display the previous bank reconciliation record. |
Next |
Click this button to display the next bank reconciliation record. |
Last |
Click this button to display the last bank reconciliation record. |
OK |
Click this button to accept an action. This button is only available after you click the New, Update, or Delete button in the ribbon. Note When creating a new bank reconciliation record, the status of the record is set to Saved after you click this button. Â |
Cancel |
Click this button to cancel an action. This button is only available after you click the New, Update, or Delete button in the ribbon. |
Show Data |
Click this button to display pending deposits, payments, and adjustments for the selected cash account and statement date. You must enter an account and date in the Cash Account and Statement Date fields before you click this button. |
Complete Bank Reconciliation |
Click this button to mark the bank reconciliation record as completed. You can only mark a bank reconciliation record as completed if the amount in the Bank Reconciliation Variance field is zero (i.e., the statement is fully reconciled with the general ledger). |
Clear All |
Click this button to select the Cleared check box for all displayed deposits, payments, or adjustments. This only affects the displayed tab. Example If the Payments tab is displayed and you click this button, the Cleared check box is only selected for displayed payments. |
Clear None |
Click this button to clear the Cleared check box for all displayed deposits, payments, or adjustments. This only affects the displayed tab. Example If the Payments tab is displayed and you click this button, the Cleared check box is only selected for displayed payments. |
Clear Range |
Click this button to display Date Range, which allows you to select the Cleared check box for displayed deposits, payments, or adjustments in a range of dates. This only affects the displayed tab. Example If the Payments tab is displayed, you click this button and enter a range of dates, the Cleared check box is only selected for displayed payments in the date range. |
Non Sufficient Funds Reverse Deposit |
Click this button to display Non Sufficient Funds Reverse Deposit Entry, which allows you to reverse deposits that did not clear due to non-sufficient funds. This button is only available if the Deposits tab is displayed. |
Account Receivable Post |
Click this button to display Accounts Receivable Post, which allows you to manually post payment transactions. This button is only available if the Deposits tab is displayed. |
Accounts Payable Post |
Click this button to display Accounts Payable Post, which allows you to manually post accounts payable transactions. This button is only available if the Payments tab is displayed. |
Journal Entry |
Click this button to display Journal Entry, which allows you to enter general ledger journal entries. This button is only available if the G/L Adjustments tab is displayed. |
Journal Entry Post |
Click this button to display Journal Entry Post, which allows you to manually post journal entries. This button is only available if the G/L Adjustments tab is displayed. |
Miscellaneous Service Charge Entry |
Click this button to display Service Charge Entry, which allows you to record service charges for the cash account. This button is only available if the G/L Adjustments tab is displayed. |
Bank Reconciliation Date Utility |
Click this button to display Bank Reconciliation Date Utility, which allows you to update bank reconciliation dates for journal entries. This button is only available if the G/L Adjustments tab is displayed. |
Bank Reconciliation Report |
Click this button to display Bank Reconciliation Report, which allows you to output a report of transactions reviewed during the bank reconciliation process. This button is only available if you are not creating, editing, or deleting a bank reconciliation record. |
Button |
Description |
Select |
Click this button to display Select a New Batch, which allows you to select a previously created batch. This button is only enabled if the general ledger account you are reconciling has a currency exchange gain or loss. |
Open |
Click this button to display Open a New Batch, which allows you to create a new batch. This button is only enabled if the general ledger account you are reconciling has a currency exchange gain or loss. |
Close |
Click this button to display Close A Batch, which allows you to close a batch. This button is only enabled if the general ledger account you are reconciling has a currency exchange gain or loss. |
Edit |
Click this button to display Edit A Batch, which allows you to edit an existing batch. This button is only enabled if the general ledger account you are reconciling has a currency exchange gain or loss. |
Field or Button |
Description |
Enter a description of the bank reconciliation record, or click the Lookup button to select a previously created bank reconciliation record by the bank reconciliation description. |
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Enter the date of the statement received from the bank, or click the drop-down arrow to select a date. |
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This field displays the status of the bank reconciliation record. This field displays one of the following statuses:
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Enter a general ledger cash account for which you want to perform the reconciliation process, or click the Lookup button to select a cash account. |
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This field displays the currency of the general ledger account entered in the Cash Account field. |
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This field displays the default general ledger currency. |
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After you click the Show Data button in the ribbon, this field displays the ending balance of the general ledger account entered in the Cash Account field as of the statement date entered in the Statement Date field. This balance is calculated as follows: (posted deposits to the cash account with a deposit date equal to or before the statement date) - (posted payments (and voids) to the cash account with a payment date equal to or before the statement date) + (posted general ledger journal entry debits to the cash account with a bank reconciliation date equal to or before the statement date) - (posted general ledger journal entry credits to the cash account with a bank reconciliation date equal to or before the statement date) |
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This field displays the total amount of pending deposits, which is equal to the total amount of deposits in the Deposits grid for which the check box in the Cleared column is cleared. As you mark deposits as cleared, this amount decreases. |
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This field displays the total amount of pending payments, which is equal to the total amount of payments in the Payments grid for which the check box in the Cleared column is cleared. As you mark payments as cleared, this amount decreases. |
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This field displays the total amount of pending adjustments, which is equal to the total amount of adjustments in the Adjustments grid for which the check box in the Cleared column is cleared. As you mark adjustment as cleared, this amount increases or decreases (depending on whether the adjustment was a credit or debit). |
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This field displays the total currency exchange gain or loss. |
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This field displays the sum of the account balance and pending payments minus the pending deposits and general ledger adjustments. |
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This field displays the statement balance entered in the Ending Balance field in the Bank Statement Totals section minus the adjusted balance. When this value is zero, you can complete the bank reconciliation process. |
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This field displays the bank statement ending balance from the last bank reconciliation for the cash account. |
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Enter the total amount of deposits listed on the bank statement (in the bank account currency). |
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Enter the total amount of payments listed on the bank statement (in the bank account currency). |
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Enter the total amount of adjustments listed on the bank statement (in the bank account currency). |
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Enter the ending balance of the cash account listed on the bank statement (in the bank account currency). |
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This field displays the bank statement ending balance from the last bank reconciliation for the cash account. |
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This field displays the total amount of cleared deposits, which is equal to the total amount of deposits in the Deposits grid for which the check box in the Cleared column is selected. As you mark deposits as cleared, this amount increases. |
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This field displays the total amount of cleared payments, which is equal to the total amount of payments in the Payments grid for which the check box in the Cleared column is selected. As you mark payments as cleared, this amount increases. |
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This field displays the total amount of cleared adjustments, which is equal to the total amount of adjustments in the Adjustments grid for which the check box in the Cleared column is selected. As you mark adjustments as cleared, this amount increases or decreases (depending on whether the adjustment was a credit or debit). |
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This field displays the sum of cleared deposits, payments, and adjustments. It is calculated as deposits + adjustments - payments. |
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This field displays the total amount of deposits listed on the bank statement (entered in the Deposit Amount Total field) minus the total cleared deposits. |
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This field displays the total amount of payments listed on the bank statement (entered in the Payment Amount Total field) minus the total cleared payments. |
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This field displays the total amount of adjustments listed on the bank statement (entered in the Adjustment Amount Total field) minus the total cleared adjustments. |
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This field displays the sum of the variance for deposits, payments, and adjustments. It is calculated as deposit variance + adjustment variance - payment variance. |
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This field displays the selected batch number. You must specify a batch number if there is a currency exchange gain or loss amount. You can use the Select, Open, Edit, and Close buttons on the Batch tab in the ribbon to work with batches. |
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Click the Lookup button to select a posting period. This button is only enabled if the general ledger account you are reconciling has a currency exchange gain or loss. |
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Click the Lookup button to select a posting year. This button is only enabled if the general ledger account you are reconciling has a currency exchange gain or loss. |
Field or Button |
Description |
Select this check box to display all posted and unreconciled deposits with dates prior to the statement date in the Deposits grid. This check box is selected by default. |
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Enter the first date in a range of deposit dates for which to display posted and unreconciled deposits, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Dates Prior to Statement Date check box. |
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Enter the last date in a range of deposit dates for which to display posted and unreconciled deposits, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Dates Prior to Statement Date check box. |
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Select this check box to display deposits in the Deposits grid by deposit batch. If this check box is cleared, the deposits in the grid are displayed by deposit date. This check box is cleared by default, and is only enabled if no deposits have been cleared for the bank reconciliation. |
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This grid displays posted and unreconciled deposits for a range of deposit dates or all dates. If the payment batch is not set up to reconcile individual payments, each row represents the total deposit amount for a deposit date or batch. To drill down to the details of the individual deposits for a deposit date, double-click the total deposit, or click the down arrow button. If the payment batch is set up to reconcile individual payments, each row represents a single payment. Select the check box in the Cleared column to mark a deposit as reconciled with the bank statement. When you select this check box, the deposit date is entered in the Cleared Date field, but you can change this date. If a different amount appears on the bank statement for a deposit, enter the bank statement amount in the Statement Amount column. |
Field or Button |
Description |
Select this check box to display all posted and unreconciled payments with dates prior to the statement date in the Payments grid. This check box is selected by default. |
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Enter the first date in a range of payment dates for which to display posted and unreconciled payments, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Dates Prior to Statement Date check box. |
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Enter the last date in a range of payment dates for which to display posted and unreconciled payments, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Dates Prior to Statement Date check box. |
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This grid displays posted and unreconciled payments for a range of payment dates or all dates. Double-click a payment to display A/P Payment Breakdown, which allows you to view detailed payment information. Select the check box in the Cleared column to mark a payment as reconciled with the bank statement. When you select this check box, the payment date is entered in the Cleared Date field, but you can change this date. If a different amount appears on the bank statement for a payment, enter the bank statement amount in the Statement Amount column. |
Field or Button |
Description |
Select this check box to display all posted and unreconciled adjustments with dates prior to the statement date in the Adjustments grid. This check box is selected by default. |
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Enter the first date in a range of bank reconciliation dates for which to display posted and unreconciled adjustments, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Dates Prior to Statement Date check box. |
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Enter the last date in a range of bank reconciliation dates for which to display posted and unreconciled adjustments, or click the drop-down arrow to select a date. This field is only enabled if you clear the All Dates Prior to Statement Date check box. |
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This grid displays posted and unreconciled adjustments for a range of bank reconciliation dates or all dates. These adjustments are general ledger journal entries created in Journal Entry or Service Charge Entry. Select the check box in the Cleared column to mark an adjustment as reconciled with the bank statement. When you select this check box, the bank reconciliation date is entered in the Cleared Date field, but you can change this date. If a different amount appears on the bank statement for an adjustment, enter the bank statement amount in the Statement Amount column. |
Field or Button |
Description |
Output Option |
Select one of the following output options:
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Save Report File |
Select this check box to save the Crystal Reports report (.rpt) file for the report to the folder entered in the Report Working Directory field for your user ID in User Profile Maintenance. You can use the report file to customize the report. For more information, see Crystal Reports FAQ. This check box is only available if you select the Screen radio button. |
Save Access Database File |
Select this check box to save the Access database (.mdb) file for the report to the folder entered in the Report Working Directory field for your user ID in User Profile Maintenance. You can use the Access database file to customize the report. For more information, see Crystal Reports FAQ. This check box is only available if you select the Screen radio button. |
Output File Type |
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Specify File Name |
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Output Directory |
Enter the location for the output report, or click the Lookup button to navigate to and select a location. This field is only available if the Specify File Name check box is cleared. |
Output File Name |
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Excel Format Name |
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Format Maintenance |
Click this button to display Excel Format Maintenance, which allows you to set up Excel formats. This button is only available if you select the Excel radio button. |
Save As Type |
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Include header |
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Delimiter |
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Enclosing Character |
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Printer |
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Subject |
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Report File Prefix |
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Add Additional Comments |
Select this check box if you want to include additional comments with the emailed report. If you select this check box, the Additional Comments window appears after you click the Print button in the ribbon, and allows you to enter the comments. This check box is only available if you select the Email radio button. |
Print Full Heading on All Pages |
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Print Title Line on All Pages |
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Report Language 1 |
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Report Language 2 |
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Horizontal Shading |
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Collate |
Select this check box to collate the printed copies of the report (if you are printing multiple copies of the report). This check box is cleared by default, and is only enabled if you select the Printer radio button and enter a value greater than 1 in the Number of Copies field. Example You are printing five copies of a 20 page report to distribute to five different people. Leave this check box selected, so that pages 1-20 of the first copy prints, then pages 1-20 of the second copy, etc. If you clear this check box, five copies of page 1 prints, then five copies of page 2, etc. |
Horizontal Shading Color |
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Number of Copies |
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Process |
Select whether the task is run now or run by Scheduling Assistant. If you select the Schedule radio button, you can specify when the task occurs, and optionally set up an alert to be created when the task completes. These radio buttons are only enabled if the Disable Scheduling Assistant check box is cleared for your user ID in User Profile Maintenance. Note If you select the Schedule radio button, you cannot output to the screen. |
Time |
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Date |
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Task Occurs |
Select one of the following options:
These radio buttons are only enabled if you select the Schedule radio button. |
Frequency |
These radio buttons are only available if you select the Every radio button. |
Day of Week |
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Repeat Every X Days |
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Repeat On |
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Repeat Every X Minutes |
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Triggering Task Id |
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Triggering Task Name |
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Triggering Task Description |
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Task Description |
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Scheduling Assistant Queue |
Enter an active Scheduling Assistant queue for the task, or click the Lookup button to select a Scheduling Assistant queue. This defaults to the default queue for your user ID. This field is only enabled if you select the Schedule radio button, and you are assigned to a queue other than the Default queue. |
External Email |
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Screen Alert |
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Internal Email |
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Report Files |
This grid displays report files set up for the report, and is only available if report files are set up for the program in Report File Maintenance. This grid includes the following columns:
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