3.36.1 Reconcile Bank Records

This topic provides information on reconciling bank records details.

Reconciliation is a process by which you will be able to match the bank statement entries with the corresponding transaction entries. System allows you to track reconciled, un-reconciled and partially reconciled transactions with the corresponding reconciled, un-reconciled and partially reconciled bank statement entries.

On uploading the bank statement, system will try to reconcile the entries automatically and update the cheque status as provided in the bank statement. Auto Reconciliation will happen based on the matching of Fund ID, Instrument Number, Instrument Amount and Drawee Bank/Branch code. Auto reconciled entries will be auto authorized by the system.

Manual reconciliation should be done for entries which the system fails to do auto reconciliation.