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Bank Statement <BS>

The purpose of the Bank Statement <BS> function is to enable the User to present payments and receipts to a bank account, in line with the Bank Statements, in order that a Bank Reconciliation may be produced.

All processed (completed and confirmed) Payments <P>, Supplier Payments <SP>, Receipts <R>, and Customer Receipts <CR> are automatically sent to the Bank Statement function for reconciling.

In This Chapter

Creating a new Bank Statement page.

Editing an existing Bank Statement