An exciting feature that is included in our newest release, 2.19, is the ability to group multiple cash receipts together to make a bank deposit.  This allows you to reconcile your bank statement.


As soon in the image above, there is now a bank deposits tab that you are able to navigate to.   Once you are here, follow the steps detailed here to learn how to make a bank deposit and  how it correlates to our newly redesigned bank reconciliation tool.