Reconciliation lines Sub-Tab

This section includes the fields and descriptions for the Reconciliation lines sub-tab.

Field Description
Entry Date This field shows the entry date.
Trans. No. This field shows transaction number of the entry.
Trans. Type This field shows the reconciliation transaction type.
Description This field shows the description of the entry which was reconciled.
Debit This field shows the entry’s amount in the G/L account’s currency, provided that the entry is a debit entry.
Credit This field shows the amount of the entry in the currency of the G/L account, provided that the entry is a credit entry.
Balance This field shows the current balance of the G/L account.
To Reconcile This field shows if the entry is reconciled on approval.
Comment This show comments, if any.
Date Posted This field shows the date posted to the account.
Journal No. This field shows the journal number posting journal to which the entry has been posted.
Offset Account No. This field shows the account number of the offset entry.
Offset Account Text This field shows the offset account text assigned to the offset account.
Location This field shows the dimension Location.
Entity The functionality of this field is similar to that of the field “Location” above.
Project The functionality of this field is similar to that of the field “Location” above.
Purpose The functionality of this field is similar to that of the field “Location” above.
Spec. 1 - 3 The functionality of these fields is similar to that of the field “Location” above.
Local Spec. 1 - 3 The functionality of these fields is similar to that of the field “Location” above.
Tax Code This field can show a tax code.
Currency Direction This field shows the currency direction.
Check No. This field shows the check number if payment is made by check.
Check Book This field shows the check book that can be assigned to a check.
Payment No. This field shows the number of the payment if payment is made by check or electronically.
Payment Group No. This field shows the number of the payment group if payment is made by check or electronically.
Payment Line No. This field shows the number of the payment line if payment is made by check or electronically.
Job No. The field shows the job number that is related to the bank reconciliation.
Job Name This field shows the name of the job that is related to the bank reconciliation.
Activity This field shows the activity number that is related to the bank reconciliation.
Activity Name This field shows the name of the job that is related to the bank reconciliation.
Task This field shows the task that is related to the bank reconciliation.
Task Description This field shows the description of the task that is related to the bank reconciliation.
Employee No. Enter the employee number that is related to the bank reconciliation line.
Employee Name This field shows the name of the employee that is related to the bank reconciliation line.
Customer No. This field shows the customer number for the customer payment.
Customer Name This field shows the name of the customer who is paying.
Reconc. Invoice No. This field shows the invoice number to be reconciled against the customer payment that you are creating. You can only enter a reconciliation invoice number if you entered a value for Customer No.
Vendor No. This field shows vendor number for the vendor payment.
Vendor Name This field shows the name of the vendor that you are paying.
Reconc. Vendor Invoice No. This field shows the vendor invoice number to be reconciled against the vendor payment that you are creating.
Currency This field shows the original currency for the vendor payment.
Currency Amount This field shows the vendor payment, in original currency.
Entry No. This field shows the entry number for the bank reconciliation. The entry number is a unique number series for each external account.