This article describes how to start using Bank Reconciliation with an existing checkbook in Microsoft Dynamics GP, so you can perform the reconciliation between the Ending Balance on the Bank Statement and the Current Checkbook balance within Microsoft Dynamics GP.
Note: In addition, you should also reconcile the GL Cash Account balance to the reconciled balance above as a separate reconciliation. To learn more about this reconciliation, see KB 864652.)
Note: In addition, you should also reconcile the GL Cash Account balance to the reconciled balance above as a separate reconciliation. To learn more about this reconciliation, see KB 864652.)