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Advanced setup > Do an initial bank reconciliation > Task 3: Reconcile
Task 3: Reconcile
1
Go to the Banking command centre and click Reconcile Accounts. The Reconcile Accounts window appears.
2
In the Account field, select the bank account you want to reconcile.
3
In the New Statement Balance field, enter the closing bank balance as at the day prior to your conversion month (for example, the closing balance as at 30/06/v15).
4
In the Bank Statement Date field, enter the first date of your conversion month. (For example, if your conversion month is July 2012, enter 01/07/v15.) Your uncleared transactions appear.
7
Click Reconcile. A confirmation window appears.
To print a report, click Print Report. When the report is printed, click Reconcile.
To change any details you entered in the Reconcile Accounts window, click Cancel.
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