3 years ago
deposit & bank reconcilliation
Hi there
I've some questions about how to match a deposit with bank transactions. and the following steps are what I do currently:
if I create a customer return for the customer's deposit, there will be a CNXXX123 in the system. and when i received the customer's deposit, this transaction will be present in the bank feed. so how to reconcile the CNXXX123 to the same transaction in the bank feeds.
Kind regards
Jess