Screens
In addition to the Bank Statement Reconciliation form, you use a variety of dialog boxes to reconcile and close statements.
Related Topics
- Bank Statement Reconciliation Form
Use the Bank Statement Reconciliation form to mark receipts and payments included on a bank statement as cleared, to import bank transactions from a statement, and to enter any miscellaneous bank transactions, such as interest, shown on the bank statement. - Bank Statement Selection Dialog Box
Use the Bank Statement Selection dialog box to add a new bank statement or to select an existing bank statement so you can enter or review reconciliation information. - Bank Statement Modify Date Dialog Box
Use the Bank Statement Modify Date dialog box to change the statement date of an existing statement. - Payment Detail Dialog Box for Individual Payments
The Payment Detail dialog box of Bank Statement Reconciliation displays detailed information about a payment to a vendor or employee. - Payment Detail Dialog Box for Summarized Electronic Payments
If the bank code is set up to summarize all electronic payments in a transmitted file as a single row on the Payments tab and you select one of those rows and click View Detail, the Payment Detail dialog box displays a list of the individual payments that were included in the transmitted file. The exception is if the transmitted file only contains one payment. In that case, the Payment Detail dialog box displays the detail for that payment, just as it does for non-electronic payments. - Post Cleared Items Dialog Box
Use the Post Cleared Items dialog box to process payments that have cleared the bank but that have not yet posted to the general ledger account. - Import New Bank Transaction Dialog Box
Use this dialog box to select the file that contains the bank records that you are importing into Vision. - Match Detail Dialog Box
The Match Detail dialog box displays imported bank records that match records that were posted in Vision. - Match Transactions Dialog Box
Use the Match Transactions dialog box to match posted bank records in Vision with a transaction that has been imported into Vision. - Close Bank Statement Dialog Box
Use the Close Bank Statement dialog box to mark multiple reconciled statements as closed. Closing a statement removes the statement date from the list of "in progress" statements on the Bank Statement Selection dialog box to make it easier to select statements in the future.
Parent Topic: Bank Reconciliation Overview