This course is designed to provide you with a comprehensive overview of Accounting Seed’s General Ledger functionality including Creating New Journal Entries, setting up Bank Direct Connect, generating Financial Statements, creating Custom Statement Definitions, and Bank/Credit Card Reconciliation. Click on the lesson below for a more detailed description and to explore each training module.
Lesson 4: Bank/Credit Card Reconciliation
Bank/Credit Card Reconciliation
In this lesson we will cover how to create a Bank and Credit Card Reconciliation and how to generate a Bank Reconciliation Report.