RECONCILLIATION OF BANK ACCOUNT
Posted: Thu Jun 26, 2008 3:49 am
25th June 08
Hello everyone,
I have read the write up on reconcilliation and would like to know if the reconcilliation can be done if :
" The Data Entries in the Accounting have been entered individually but the deposits to the bank were amalgamated into one receipt i.e. Sunday's offerings + rent income etc were put together in one Deposit Receipt. "
Ideally it would have been nice if seperate deposit slips were made for each data transaction done in the Accounting but unfortunately this was not done.
Any advice or suggestions you can give for future months bank reconcilliation (example for month of July onwards etc etc) would be greatly appreciated.
Thanks and regards
Osvaldo De Souza
Hello everyone,
I have read the write up on reconcilliation and would like to know if the reconcilliation can be done if :
" The Data Entries in the Accounting have been entered individually but the deposits to the bank were amalgamated into one receipt i.e. Sunday's offerings + rent income etc were put together in one Deposit Receipt. "
Ideally it would have been nice if seperate deposit slips were made for each data transaction done in the Accounting but unfortunately this was not done.
Any advice or suggestions you can give for future months bank reconcilliation (example for month of July onwards etc etc) would be greatly appreciated.
Thanks and regards
Osvaldo De Souza