Using the Bank Reconciliation

Similar documents
Positive Pay Reports and Reconciliation Guide. Transaction Reports

Sage 100 Fund Accounting. Bank Reconciliation STUDENT WORKBOOK SAGE LEARNING SERVICES. Important Notice:

Abila MIP Fund Accounting TM. Bank Reconciliation STUDENT WORKBOOK ABILA LEARNING SERVICES. Important Notice:

1 University Deposit Reconciliation - Central Offices 3. Overview - University Deposit Reconciliation and Approval 4

Financial Revision 6.1 Treasurer s Report Enhancements

Clarity General Ledger Year-end Procedure Guide 2018

Bank Reconciliation Script

State of Hawaii Department of Education Standard Practice (SP) Document

Chapter 10 Completing Quarterly Activities and Closing the Fiscal Year. Copyright 2009 by The McGraw-Hill Companies, Inc. All Rights Reserved.

Auto Bank Reconciliation in Tally.ERP 9

Hi-Tech Software Solutions Year-End Processing for other than 12/31. TIP: Do not wait until the last minute for filing and printing deadlines!

Audit Committee General Information:

Poliscope. 3A: Paper Prototype. Janet Gao, Kim Le, Kiyana Salkeld, Ian Turner

The County of Chester Office of the Controller Internal Audit Department

7/26/2007 Page 1 of 9 GENESIS ADMINISTRATION: SETTING UP GRADING COMMENTS

Treasurer / Secretary Workshop. MWPHGL of Maryland Office of the Grand Inspector 1307 Eutaw Place, Baltimore, MD

STATE OF NEW YORK OFFICE OF THE STATE COMPTROLLER 110 STATE STREET ALBANY, NEW YORK 12236

Table of Contents. Table of Figures

Sample Reports of Tax Collected at Source

Oracle FLEXCUBE Bills User Manual Release Part No E

Definition of Officers Definition of Committees Executive Committee Financial Checklist

Online Remittance User Guide

Creating and Managing Clauses. Selectica, Inc. Selectica Contract Performance Management System

INTERNAL CONTROLS 2. State Court Clerks & Clerks and Masters

Balance Sheet Account Reconciliations Policy

RECONCILIATION BANK STATEMENT PDF

Financial Operations 101

Financial Secretary Training. Annual College Councils Conference 2017

Lackland ISD Cash Management Procedures

October 31, Dear Senator Currie and Delegate Conway:

Basic Steps. UT System Administration. November 2009

Guide to Accounts Payable Liability Object Code Table of Contents

Washington State Archives Office of the Secretary of State. Local Government Common Records Retention Schedule (CORE) Version 3.

Ontario Tire Stewardship: Steward Training Online TSF Remittances

KENYA FOREST SERVICE DOCUMENT TITLE:

Chapter Treasurer: Duties and Keeping Records. Treasurer Duties and Keeping Records National Association of Women in Construction

Judiciary Administrative Office of the Courts Superior Court of New Jersey Middlesex Vicinage

5 SIMPLE STEPS TO A BETTER CHECKING ACCOUNT

Guernsey Chamber of Commerce. Website User Guide

JUDICIARY - STATE OF NEW JERSEY RECORDS RETENTION SCHEDULE DIRECTIVE #3-01. Issued March 16, 2001 REVISED: October 24, 2014 (by Directive # 06-14)

Florida Records Management Association (FRMA) RECORDS RETENTION SCHEDULE

PRESIDENT. If the Chapter President s membership in the Institute shall for any reason terminate, his/her office shall automatically become vacant.

BOND CREATION AND MANAGEMENT SURETY COMPANY

Office of the Clerk of Circuit Court Baltimore City, Maryland

DD/DSD CDS PROCEDURES MANUAL FOR ADM 21/04/17 Chapter: 7 WITHDRAWAL Section: 7.1 Accepting Withdrawal Requests

Questions on IARD? Call the IARD Hotline at A.M. - 8 P.M., ET, Monday through Friday.

AUDIT REPORT. Audit of the Orange County Clerk of the Circuit and County Courts- Financial Controls and Revenue Collection Procedures

Bank Reconciliation Questions And Answer Acca Format

Follow-Up of the Audit of the Orange County Clerk of the Circuit and County Courts Financial Controls and Revenue Collection Procedures

County of Chester Office of the Sheriff

GEORGIA TRANSMITTERS OF MONEY

Results from the Industry Survey by the Remittance Coalition: A Presentation to X9C & X9AB Members

INDIANA PRESSLER MEMORIAL CHAPTER HFMA

Class Action Registry. Handbook for lawyers. Direction générale des services de justice. Version 1.00

Navigation Exercises 1 Open the Customer List from the Navigation bar. 2 Change the dates for the Expense Tile to "This Fiscal Year" 3 Open Transfer

ESIDEL (European Steel Industry Data Data Exchange Language) Version 1.0

PROCEDURES FOR THE USE OF VOTE COUNT TABULATORS

D. Statement on Internal Control Structure E. Management Summary G. Detailed Audit Findings II. MANAGEMENT'S RESPONSE...

STATE OF ILLINOIS STATE RECORDS COMMISSION

PARTICIPATION IN THE CLEARING FACILITY

Office of the Clerk of Circuit Court Carroll County, Maryland

5222 E. Baseline Road, Suite 101 Gilbert, AZ 85234

Terms & Conditions. Article 1 Membership

NOTICE OF ELECTRONIC FILING

Financial Administration (FAD) 2018/2019 Winter Recess Schedule

Community Resources Series. Constitution. Nicole Baker, Stephanie Esmond, Konstantinos Georgiadis

CHARLES L. FRALEY, III CLERK OF THE CIRCUIT COURT OF THE COUNTY OF GILES REPORT ON AUDIT

Election Night Reporting

New Mexico Head Start Association By-Laws


JD Edwards EnterpriseOne Applications

Financial Management Policies

State Accounting Closing Schedule FY09. Responsible Area / Application USAS USAS. Financial Operations and State Accounting / PSGL and USAS

APRIL - Fiscal Year End 2018 SUN MON TUE WED THU FRI SAT

Vice President Secretary. d) Treasurer e) Fund Raising Chairperson f) Director of Instrumental Music Program (Ex-officio) Stevenson Band Booster Club

LOUISIANA BOARD OF DRUG AND DEVICE DISTRIBUTORS (FORMERLY LOUISIANA BOARD OF WHOLESALE DRUG DISTRIBUTORS) STATE OF LOUISIANA

Attachment 1. Workflow Designs. NOTE: These workflow designs are for reference only and should not be considered exact specifications or requirements.

Trust accounting. A. Required records; maintenance and reporting. (1) Types of records. Every attorney subject to these rules shall maintain

Department of Public Safety and Correctional Services Central Region Finance Office

Reconciliation and Approval process for PCard transactions (Presentation December 2015)

TITLE 23: EDUCATION AND CULTURAL RESOURCES SUBTITLE A: EDUCATION CHAPTER I: STATE BOARD OF EDUCATION SUBCHAPTER c: FINANCE

BYLAWS OF THE OLIVER WENDELL HOLMES HIGH SCHOOL BAND BOOSTER CLUB

Federal Pro Se Clinic CENTRAL DISTRICT OF CALIFORNIA: WESTERN DIVISION

TERANET CONNECT USER S GUIDE Version 1.4 August 2013

Federal Pro Se Clinic CENTRAL DISTRICT OF CALIFORNIA: WESTERN DIVISION

PMSA PTO BYLAWS

STANDING ORDER (FINANCIAL) 63 PAYMENT OF MEALS PROVIDED TO PERSONS IN POLICE CUSTODY

BYLAWS. Revision 24 APPROVED JUNE 26, Revised July 29, 2017

Office of the Register of Wills Calvert County, Maryland

Mojdeh Nikdel Patty George

Office of the Clerk of Courts

ELECTION COMMISSION OF BHUTAN ཁག འགན : ༢༠༡༨

2018 Court Technology Solutions Award Nomination Form

District Executive Committee Training. Electronic Expense Reimbursement System

Online Decision Entry Process

CSA Staff Notice Appendix A Meeting Vote Reconciliation

CAMPAIGN FINANCE AND BALLOT MEASURE GUIDE

Royalty Free License Agreement - Pixels.com

Village of Wapella JULY THIS MONTH S EVENTS July 4th-OFFICE CLOSED. NEXT MONTH S EVENTS No Classes Scheduled

S U M M I T C O U N T Y, O H I O

Transcription:

Using the Bank Reconciliation Owner of this document is: Scott Wiacek swiacek@feedingamerica.org Purpose of this document This document illustrates how the process of reconciliation assists with checking the entries and the balances on your accounts against the statements from the bank. Copyright Feeding America 2013, All Rights Reserved. This document may be printed and reproduced only by Feeding America and member organizations. Using the Bank Reconciliation Page 1 of 9 Last Reviewed 10/6/2017

Table of Contents PURPOSE... 3 CREATING AND POSTING A BANK ACCOUNT RECONCILIATION... 3 CHECKS FASTTAB AND DEPOSITS/TRANSFERS FASTTAB... 4 RELATED TOPICS:... 9 Using the Bank Reconciliation Page 2 of 9 Last Reviewed 10/6/2017

Purpose When you maintain the information about Bank accounts in Ceres, you must reconcile them on a regular basis. The process defined here assist with checking the entries and the balances on your accounts against the statements from the bank. Ceres object release 4.00.00 is required for the functionality documented in this procedure. Creating and Posting a Bank Account Reconciliation 1. The Bank Account Reconciliation can be accessed from Departments Financial Management Cash Management Lists Bank Account Reconciliations. 2. To create a new Bank Account Reconciliation, click Home New. Update the fields as necessary General FastTab - Bank Account No.: Select the Bank Account Code for the account you are reconciling. Using the Bank Reconciliation Page 3 of 9 Last Reviewed 10/6/2017

Statement No.: Ceres automatically fills in the Statement No. and the Balance Last Statement fields based on the information on the bank account card. Statement Date: Enter the date of the statement from the bank. This field is also used to filter the G/L Entries that display in the G/L Balance $ field. In the Statement Ending Balance field, enter the balance from the bank s statement. Cleared With./Chks. Per Stmt.: Input from the bank statement, the checks and other withdrawals that cleared. Cleared Inc./Dpsts. Per Stmt.: Input form the bank statement, the deposits and other incoming transactions that cleared. Balance on Statement: Input the ending bank balance per the bank statement. Checks FastTab and Deposits/Transfers FastTab The Bank Account Lines in the Checks Lines and Deposits/Transfer FastTabs is where the actual reconciliation is performed by indicating which lines have cleared. 3. To bring the lines in click Actions Functions Suggest Lines. 4. From the Bank Rec. Process Lines Page, select the Record Type to process (Checks, Deposits, or Both) and whether you want to replace the existing lines. 5. In the Posting Date field, enter the starting posting date for the Ledger Entries to be reconciled. In the Ending Date field, enter the ending date for these Ledger Entries. Using the Bank Reconciliation Page 4 of 9 Last Reviewed 10/6/2017

6. Click OK. Ceres then fills in the lines on the Checks and Deposits FastTabs. The Outstanding Deposits and Outstanding Checks fields are updated on the General FastTab as well. 7. Open the Checks FastTab and place a checkmark in the Cleared field for check that cleared the bank. This process can be automated by running the Mark Lines Function from Home Mark Lines. Using the Bank Reconciliation Page 5 of 9 Last Reviewed 10/6/2017

8. Select the Record Type (Checks, Deposits, or Both) and place a checkmark in the Mark as Cleared field. 9. Click OK. Ceres will mark the lines as cleared based on the filters that were set. 10. Correct the lines, if necessary, by un-checking the Checks or Deposits that have not cleared. 11. If a Check or Deposit cleared for a different amount update the Cleared Amount field. 12. You can start over by clearing all lines. To clear the lines, select Actions Clear Lines. 13. Repeat the steps above for the deposits and transfers. 14. Open the Adjustment FastTab and enter a new line with any transaction from the bank statement that does not appear on the reconciliation lines, such as bank fees. Any amounts entered on the Adjustment FastTab will post as a Journal Entry when the Bank Reconciliation is posted. Using the Bank Reconciliation Page 6 of 9 Last Reviewed 10/6/2017

15. Open the General FastTab and confirm that Difference is $0. If not verify the amounts you inputted and the checks and deposits that are marked as cleared. The Bank Reconciliation cannot be posted until the Difference is $0. 16. To print the Bank Reconciliation Test Report, click Actions Test Report. 17. From the Bank Rec Test Report Page, select what you want to print on the Report. The easiest way to do this is to select Details (which checks all fields) and then un-check what you do not want to include. Using the Bank Reconciliation Page 7 of 9 Last Reviewed 10/6/2017

In the below example, Adjustments, Outstanding Checks, and Outstanding Deposits were selected. Then select Print to print a hardcopy or Preview to preview the Report. 18. To post the Bank Reconciliation, select Actions Post or Post and Print. 19. Posted Bank Reconciliations can be viewed from the Bank Account Card by selecting Navigate Statements. 20. The first Bank Statement will appear. Select Home Next until you find the Statement you are looking for. Using the Bank Reconciliation Page 8 of 9 Last Reviewed 10/6/2017

Related Topics: 1. AP Check Processing 2. AP Checks Voiding 3. Bank Deposits 4. Cash Receipts Journal 5. Charts of Accounts Overview Using the Bank Reconciliation Page 9 of 9 Last Reviewed 10/6/2017