Display the Bank Statement Reconciliation Form You display the Bank Statement Reconciliation form in the Accounting application. To display the form, complete the following steps: From the Vision Navigation menu, click Accounting > Bank Reconciliation. On the Bank Statement Selection dialog box, select an existing statement date or enter the date for a new statement, and click Select. Parent Topic: Bank Statement Reconciliation Form Related Concepts Close Bank Statement Dialog Box Post Cleared Items Dialog Box Payment Detail Dialog Box for Summarized Electronic Payments Bank Statement Selection Dialog Box Payment Detail Dialog Box for Individual Payments Bank Statement Modify Date Dialog Box Related Reference Miscellaneous Tab of Bank Statement Reconciliation Receipts Tab of Bank Reconciliation Main Tab of Bank Statement Reconciliation Payments Tab of Bank Statement Reconciliation Toolbar of Bank Statement Reconciliation Summary Tab of Bank Statement Reconciliation