Bank Reconciliation | ChequeGuru User Guide
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Bank Reconciliation

Match issued cheques against your bank statement.

  1. 1. Go to Reports > Bank Reconciliation.
  2. 2. Select bank account and statement period.
  3. 3. Import or enter the bank statement transactions.
  4. 4. ChequeGuru matches cheques automatically.
  5. 5. Manually mark any unmatched items.