Use the Reconcile tab under Bank Reconciliation to approve eliminations.
To use Bank Reconciliation in the Month-End submodule, you must have access to
Finance & Administration as defined in User Access Rights under
Settings.
-
On the main toolbar, click
Finance & Administration
.
-
If you have more than one Company in your WorkBook system, use the drop-down list above the left pane of the Finance & Administration page to select the Company for which you want to approve eliminations.
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In the left pane of the Finance & Administration page, click
.
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Click the
Bank Account tab and highlight the bank account that has the eliminations that you want to approve.
-
Click the
Reconcile tab.
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In the upper quadrants, select the system transactions and the matching bank transactions that you want to approve and click
Approve
.
WorkBook lists all of the reconciled transactions or eliminations in the lower quadrants.