Forum Discussion

corefusion's avatar
3 years ago

Bank Reconciliation outstanidng deposits and withdrawals

I have generald journals that have been reconciled but are still showing as Outstanding Withdrawals and Oustanding Deposits in my Bank Reconciliation Reports

How do I clear these out?

  • SamaraM's avatar
    SamaraM
    Former Staff

    Hi corefusion 

     

    Thank you for your post.  If those General Journals have become unreconciled, since doing the reconciliation then you would need to undo the most recent reconciliation, then keep undoing until you get the reconciliation with that journal, and re-reconcile that one, then reconcile each month going forward again, until you're back to the current date.


    I have attached our Help Article with detailed steps on this which may help: Resolving out of balance bank reconciliations.

     

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