Entering bank transactions for reconciling
Posted: Thu May 18, 2006 3:41 pm
Hi
I asked this question in another post, but I need more detailed help.
When entering bank fees and interest, what number is used for the reference number (for ref./check no)?
How are NSF checks handled? Are they processed in Fund Acounting also? Is there a report or something that is generated that shows what was entered in the past that I may be able to use as a guide?
Thanks in advance for your help.
Kim
I asked this question in another post, but I need more detailed help.
When entering bank fees and interest, what number is used for the reference number (for ref./check no)?
How are NSF checks handled? Are they processed in Fund Acounting also? Is there a report or something that is generated that shows what was entered in the past that I may be able to use as a guide?
Thanks in advance for your help.
Kim