MYOB Exo Business

Hide NavigationShow Navigation

  • Contents
  • Index
  • Search
 
Show results that include all search words

 

Reconciling GL

You must carry out a bank reconciliation to match transactions in the GL bank codes to the bank statements. You can perform a bank reconciliation using a printed bank statement or using a .CSN format file from the bank.

Related Topics

Bank Reconciliation  | Finance Overview