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DrewO's avatar
DrewO
Member
1 year ago
Solved

Matching and Categorising Transactions Prior to Bank Feed Establishment

Hi   Pardon my ignorance as my previous bookkeeping experience is limited.    The bank feeds for my new company were established in MYOB, however there were some funds deposited and spent in the ...
  • Doreen_P's avatar
    1 year ago

    Hi there DrewO,

     

    To reconcile the out-of-balance issue on your account, you'll need to import the bank statement for the prior transactions. This allows you to categorise the prior transactions. For detailed steps on how to import a bank statement, you can check this link.

     

    Cheers,

    Doreen