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Advanced setup > Do an initial bank reconciliation > Task 2: Record uncleared withdrawals and deposits
To enter uncleared withdrawals
1
Go to the Banking command centre and click Spend Money. The Spend Money window appears.
2
In the Pay from Account field, type or select the bank account you want to reconcile.
3
In the Cheque No. field, enter a reference number for the withdrawal.
4
In the Date field, type the first day of your conversion month. For example, if your conversion month is July 2008, enter 01/07/08.
5
In the Amount field, type the amount of the withdrawal.
6
In the Acct # field, type or select the bank account you want to reconcile. This must be the account entered in step 2.
7
In the Tax field, select the N-T tax code.
9
Click Record.
10
Repeat from step 3 for each uncleared withdrawal.
To enter uncleared deposits
1
Go to the Banking command centre and click Receive Money. The Receive Money window appears.
2
In the Deposit to Account field, type or select the bank account you want to reconcile.
3
In the Date field, type the first day of your conversion month. For example, if your conversion month is July v15, enter 01/07/v15.
4
In the Amount Received field, type the amount of the deposit.
5
In the Acct No. field, type or select the bank account you want to reconcile. This must be the account entered in step 2.
8
Click Record.
9
Repeat from step 3 for each uncleared deposit.
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