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        GL: Bank Reconciliation Report Tab
        Make the following menu selections to display this tab: 
 
        eFinancials—Reports—GL Reports—Bank Reconciliation
        Use this tab to print a bank reconciliation report, which 
 includes details that result from a bank reconciliation. 
         Report Description
Report Description
        
        
            Two types of bank reconciliation reports are available: 
 Summary and Detail.
            
                - The summary 
 report is a single page report. The header lists the bank, general ledger 
 account and reconciliation date. The body includes two columns. The general 
 ledger column includes total for the ending general ledger account balance, 
 interest earned, service charges, and general ledger adjustments, which 
 nets to the adjusted general ledger balance. The bank column includes 
 total for the ending bank balance, deposits in transit, outstanding checks, 
 and bank adjustments, which nets to the adjusted bank balance. 
- The detail 
 report consists of the summary report plus detailed sub-reports. The sub-reports 
 include lists of the following items: unreconciled checks, unreconciled 
 deposits, unreconciled bank adjustments, unreconciled GL book adjustments, 
 outstanding checks, and outstanding deposits. 
In addition, you can select 
 the option Include Reconciled to include reconciled 
 transactions in the results. 
            
                 Note
 Note
            The report includes only bank 
 accounts to which you have access. 
         
         To Print the Report
To Print the Report
        
        
            
                - From the eFinancials 
 menu, select Reports—GL Reports—Bank 
 Reconciliation.
- From the Bank 
 Account drop-down list, select an account for the report. 
- From the Bank 
 Recon Dates the drop-down list, select a date for the report.
- To 
 print a summary report, select the Summary 
 radio button. Or, to print a detailed report, select the Detail radio button. 
- To include reconciled 
 checks and deposits on the report along with outstanding checks and deposits, 
 select the Include 
 Reconciled check box.
- Select one of the 
 following report printing options: 
                    - PDF 
 Format: Print the report in PDF format for use in a PDF viewer, 
 such as Acrobat.
- Create 
 Spreadsheet: Prints the report in an Excel spreadsheet. 
- Click Print. 
 If you selected Create Spreadsheet, you are prompted to open or save the 
 report Excel file. Otherwise, the report opens in PDF format.
 
         
        See 
 Also
        
        Reports 
 Introduction