Receipts Tab of the Bank Reconciliation Form

The Receipts tab lists all of the receipts for the bank code that have not been designated as cleared for another statement date.

If you display reconciliation information for a prior statement, any receipt listed on the Receipts tab that has been cleared on a more recent statement is displayed as uncleared, and the date of the future statement on which it was cleared displays in the Statement Date field.

Contents

Field Description
Display Drop-down Click the drop-down arrow to filter the receipt records:
  • To display transactions that were cleared, click Cleared.
  • To display uncleared transactions in Vision, click Uncleared.
  • To display all transactions, click All.
Grid Drop-down

Click the drop-down arrow on a grid header to complete any of the following actions:

  • To print grid data, click Print. On the Print Preview form, click File > Print to send the grid data to your default printer.
  • To export grid data to an Excel spreadsheet, click Export to Excel. When Microsoft Excel opens, use its features to modify, print, or email the grid data, or to save the spreadsheet file locally.
  • To turn on grouping for a grid, click Enable Grouping. When a field displays with the instruction: "Drag a column header here to group by that column," drag and drop column headers into the field, in the sequence that you want them to display.

Not all options are available on all grids.

Match Detail This option shows imported bank records that match the selected record posted in Vision.
Clear Select multiple transactions and click this option to clear them.
Unclear Select multiple transactions and click this option to unclear them.
Clear All Use this option to clear all listed transactions.
Unclear All Use this option to unclear all listed transactions.
Number This field displays the reference number entered for the receipt transaction during Cash Receipts Transaction Entry.
Date This field displays the date of the receipt as entered during Cash Receipts Transaction Entry.
Amount This field displays the amount of the receipt as entered during Cash Receipts Transaction Entry.
Cleared Select this check box to indicate that the receipt was listed as a cleared transaction on the bank statement.
Description This field displays the description for the receipt as entered during Cash Receipts Transaction Entry.
Type This field displays the transaction type for the receipt. Deposits have a CR transaction type.
Voided A check mark in this field indicates that the transaction has been voided.
Statement Date If the transaction has cleared, the statement date displays in this field.