Configure reconciliation

You configure this component if you want to reconcile ledger account entries and outstanding items with payments.

In Financial you have two options for the reconciliation:

  • Reconcile ledger accounts (balancing entries, suspense account)
  • Reconcile outstanding debtor/creditor items

In this section you configure both reconciliation processes.

Procedure
  • Authorise reconciliation
  • Add a variable general journal
  • Add a ledger account for reconciliation differences
  • Administration settings
  • Configure an entry layout
  • Configure a ledger
  • Settings for down payment
Also see
  • Reconcile
  • Reconcile outstanding items