Complete an account reconciliation when you receive or import a statement from your bank or credit-card company.
Note: Make sure you have set up an account for reconciliation and completed the first reconciliation.
Sage matches transactions for you based on the source number (cheque number) and the amount. If a transaction is not matched, first check for errors in the source number or the amount in the imported statement. Then follow the rest of the steps.
Mark it cleared (click beside it in the Cleared column ).
Leave its status as Outstanding.
and you did not add it to the Income or Expense amounts you entered earlier, add it by making an adjusting transaction. Make sure to assign a status to each new transaction.
To assign the same status to all transactions with the same deposit number, click the heading of the Cleared column . This way you can reconcile deposits reported as a lump sum on the bank or merchant statement, but recorded in Sage as several different receipts.
If you want to sort the transactions, choose a method from the drop-down menu. This will change the order in which the transactions appear when you run the report. The Order of Entry option allows you to sort transactions by the order in which they were originally entered.
Note: If you have upgraded your company from a previous version of Sage or another accounting program, sorting transactions by order of entry is limited to transactions processed in your current version of Sage. Pre-upgrade transactions will be sorted by date.
If the unresolved amount is not zero, the program asks you to enter an account to which you want to charge an adjustment for the unresolved amount.