• Bank reconciliation variance

    Hello, there is a discrepancy between the adjusted book balance of our bank rec and our gl account over a number of periods. The first variance ties perfectly to one entry that appears like it was posted correctly as a bank entry and cleared on the bank…
  • Reversing/Editing a bank reconciliation that has been posted

    Hello, I have identified a number of bank reconciliations where the adjusted book balance does not tie to the GL amounts. These are bank reconciliations that have been posted and I am unable to modify or look into the transactions that might be throwing…