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1 Reply
- Tracey_H3 years agoFormer Staff
Hi AbAlawyers1
Thanks for your post. From a software perspective, you'd need to enter 05/01/2023 as the Bank statement date in the Reconcile accounts window. Enter the 31/12/2022 closing bank balance in the Closing Statement Balance field. The January pay transaction can then be included in the December reconciliation.
Please let me know if you need further help.
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