Reconcile
OFX Statements Form
You use the Reconcile OFX Statements form to:
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Automatically match transactions from an imported OFX statement to transactions in Sage ERP Accpac.
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Match deposit amounts that are consistent with the presentation of deposits on your bank statement — you can reconcile individual receipts amounts included on a deposit slip, or you can reconcile the entire deposit as a lump sum.
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Mark transactions as bank entries. (For step-by-step instructions, see Designate an OFX Transaction as a Bank Entry.)
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Write off or clear unmatched transactions.
Saving the OFX reconciliation adds bank entries, written-off amounts, and other reconciling amounts to the Reconciliation tab on the Reconcile Statements form.
To reconcile OFX statements
See also