Completing your Month End Reconciliation
- Introduction
- Starting the Reconciliation
- 1. Reconciling Date
- 2. Groups
- 3. Reconciliation Ledgers
- 4. Notified Debtors
- 5. Notified Transactions
- 6. Export Debtors
- 7. Debtor Limits
- 8. Contras
- 9. Discounts, Adjustments, and Write-offs
- 10. Invoices and Credit Notes in Transit
- 11. Cash in Transit
- 12. Reconciling Items
- 13. Other Reserves
- 14. Reconciliation Summary
- 15. Preview (Submitting the MER)