RECONCILE ACCOUNTS BANKING
In Reconcile Accounts I would like to know if there is a way to stop MYOB automatically dating the Reconcilation the date you are actually logged in and doing it, automatically ticking every transaction as reconciled, and listing the transactions with the latest date at the top? We are using bank feed to create all of our transactions so there is no automatic matching. Does the Bank Feed process effect how MYOB is automatically completing our reconcilation? With whatever updates have happened recently, when I am selecting transactions to reconcile and get to the bottom of the screen, I have to scroll down to select more transactions and every time I select one the list keeps rolling back to the top? It happens for every transaction. The listing is now its own page within my screen - very frustrating. I am accessing MYOB on a desktop. Thanks for any help with this.103Views0likes5CommentsReceive Money
I have a receive money for $117.78 and an item on the bank feed for the same amount. I go to match and it can't find the $117.78 I duplicate the transaction and it can find the 2nd transaction. Why wouldn't it able to find the first transaction? Is there something I'm missing here.56Views0likes3CommentsBank reconciliation closing balance should be zero
Am trying to reconcile the bank account, but it is exactly out by $217.55. When the account was opened it had a zero balance and I am not sure where the $217.55 comes from. I have not entered an opening balance, I have undone all bank reconciliations so I can start again and I have searched the amount and I have no idea where is has come from. See screenshot.103Views0likes1CommentBank Rec glitch / error
I have just been attempting reconciliation of a bank account and, after numerous failed attempts, I looked back at the previous report and noticed it did not match the amount on the actual bank statement. I undid that prior period and re-reconciled the transactions successfully, saved, reconciled and re-printed the report. I then moved to the next period to begin and found that I was unable to reconcile again. When I re-checked the (newly created) reconciliation report for the previous period it did not match the prior month's statement again - it was out by the same amount, even though I know it matched when I performed the reconciliation it a few minutes earlier. I logged out and in and repeated the process only to be faced with the same problem. Screenshots in doc attached show my screen showing one balance and the report something totally different. There are two transactions in the old period for the same amount - but only one of them in showing as reconciled in the report - even though it shows on screen when i reconciled it. The second value does not show as outstanding in the transactions to be reconciled so i can't simply click to add it in this new period.314Views0likes6Comments