Use the Miscellaneous tab to enter miscellaneous bank transactions on the statement, such as interest amounts (or other credits) and service charges (or other debits), that are not linked to a bank code.
If you enter miscellaneous charges in Vision via journal entries, you must add those charges manually to Bank Statement Reconciliation on this tab.
Contents
Field | Description |
Date
|
Enter the date of the charge.
|
Amount
|
Enter positive amounts to account for interest or other credits. Enter negative amounts to account for service charges or other debits.
For example, if you have a $60.00 service charge (entered as -60.00) and a $50.00 interest amount (entered as 50.00), Vision subtracts $10.00 from the opening balance when accounting for these items in calculating the closing balance.
When you enter a miscellaneous amount, Vision adds the amount to the Miscellaneous line of the Cleared Items summary.
|
Description
|
Enter the description of the charge.
|