Open topic with navigation
        
        Adding Service Charges
        You can add service charges, such as returned check charges, 
 for the reconciliation. 
        The General tab allows you to add or edit general information 
 for a service charge. When you complete this tab, the system automatically 
 creates an entry for the cash account on the Service Charge Detail Tab.
        The Detail tab allows you to add or edit details for 
 the service charge. The system provides default cash account information. 
 You must enter the offsetting entry. 
        
             Note
Note
        If you add a service charge in error, you cannot delete 
 the transaction. You must add a reversing entry to correct the error. 
 
         General Tab Fields
General Tab Fields
        
        
            
                 Note
Note
            An asterisk (*) indicates 
 a required field or selection.
            Payment # *
            The system-generated payment number. The word 
 New displays when you are adding. This number 
 appears on lists and in reports. 
            The charge number format includes a date and system-assigned 
 sequential number; for example, 02/20/2005.001, 02/21/2005.002, and so 
 forth. 
            Date 
            The reconciliation date. This field is not editable.
            Charge type *
            Select a type for the payment from the drop-down 
 list: Service Charge, Return Check Charge. 
            Amount *
            Type the amount for the payment. 
            Description *
            Type a description for the payment. 
            Cancel
            Click to exit without saving changes. 
            Save
            Click to save your changes. 
         
         Detail Tab Fields
Detail Tab Fields
        
        
            Sequence Number Field
            The system-generated sequential line number. 
            Bank Account
            The bank account identification. 
            EntityCompany 
 ID
            The entitycompany 
 identification. 
            GL Account
            The credit is a general ledger account identification 
 that is associated with the entitycompany 
 cash account. 
            For the debit, use the Lookup button  to select the offsetting expense account from the . 
 During reconciliation, when you add a service charge, you select an expense 
 account for a service charge. Once you save the transaction, the system 
 approves and posts immediately to the period that contains the bank statement 
 date. The transaction is not included in a batch or journal entry. You 
 must select the transaction to have it included in the reconciliation.
 to select the offsetting expense account from the . 
 During reconciliation, when you add a service charge, you select an expense 
 account for a service charge. Once you save the transaction, the system 
 approves and posts immediately to the period that contains the bank statement 
 date. The transaction is not included in a batch or journal entry. You 
 must select the transaction to have it included in the reconciliation. 
 
            If you prefer having these transactions 
 contained in a batch or journal entry, add them using the batch and journal 
 entry tabs just as you would any other transaction. Be sure to approve 
 the batch. When you return to the reconciliation process, these items 
 appear as unchecked transactions in the Bank Reconciliation Grid. The 
 items are also accounted for the GL Acct Balance—the general 
 ledger cash account balance field in the total fields. 
            Description
            Enter a description of the payment. 
            Amount
            Enter the amount of the payment. 
            Delete 
            Click the Delete button 
  to delete a payment. Note that you are deleting one line 
 item detail for this payment but not the entire payment.
to delete a payment. Note that you are deleting one line 
 item detail for this payment but not the entire payment. 
            Debit Total
            The system-generated debit total for the payment. 
 To save entries, the debit and credit totals must match. 
            Credit Total
            The system-generated credit total for the payment. 
 The entry is always a credit to the cash account for this bank. To save 
 entries, the debit and credit totals must match. 
            Cancel
            Click to exit without saving changes.
            Save
            Click to save your changes.
         
         To Add a Service Charge
To Add a Service Charge
        
        
            
                - From the Bank Reconciliation 
 Details tab, click Add Service Charge. 
- On the General tab, 
 type the date (mm/dd/yyyy) or use the Calendar button to select a date, 
 if desired. 
- From the Charge 
 Type drop-down list, select a type for the payment.
- Type theAmountfor the payment.
                
- Type a Description for the payment. 
- In the GL Account 
 field on the Detail tab, type the offsetting expense account for the debit 
 or use the Lookup button  to select the account from the 
 . to select the account from the 
 .
- Enter a Description 
 of the payment. 
- Type the Amount 
 of the payment. 
- Click Save. 
 
 
        See Also
        Bank 
 Reconciliation Grid
        
        Bank 
 Reconciliation Detail
        
        Adding 
 Interest
        
        Adding 
 Adjustments
        
        Bank 
 Reconciliation Concepts and Processes
        
        Bank Reconciliation Troubleshooting