dynamics ax 2012 core financials - cash and bank
TRANSCRIPT
![Page 1: Dynamics AX 2012 Core Financials - Cash and Bank](https://reader034.vdocuments.us/reader034/viewer/2022042320/625ce839d319963ee102bf15/html5/thumbnails/1.jpg)
Bank ReconciliationCash and bank management > Common > Bank accounts
The Bank reconciliation process allows the entry of the ending bank statement balance to be reconciled to the ledger bank balance.
Summary
1. Create a Bank reconciliation header2. Reconcile account3. Print reconciliation
Steps
• Use Bank transaction groups to tie the transaction summary to the bank statement’s summary
Tips
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Create a Bank reconciliation header
• Click the Bank reconciliation button.
• Click the New button.
• Fill in Bank statement date.
• Use the month and year in Bank statement.
• Type the Ending balance from the bank statement.
• Click the Transactions button.
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Bank Reconciliation
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Reconcile account
• Check Cleared on all cleared transactions.
• Unreconciled should be 0.00.
• When the account is reconciled, click the Reconcile account button.
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Bank Reconciliation
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Reconcile account
Cleared
Cleared summary
Interactive 2.2 Reconcile Account
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Bank Reconciliation
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Movie 2.2 Bank Reconciliation
Bank Reconciliation