Consolidated Banks

We have 3 separate bank accounts that roll up to one sweep account.  Currently we have to keep a spreadsheet for each account balance to determine what the balance is in our sweep account.  We also have to use this spreadsheet for reconciling each account individually.  Is there a way Sage 300 can handle a consolidated reconciliation or a 3rd party product that can be used for this?

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  • You need 4 banks in Sage 300, then you need to deal with the ZBA entries.
    The process can be automated with a VBA macro, import the ZBA transactions as bank entries.
  • in reply to 49153
    I'm not quite sure what you are proposing. We currently have 4 banks in Sage. I am trying to alleviate doing separate reconciliations for each and having to keep a separate spreadsheet of balances that are needed for the reconciliation. I am a user and not a programmer so maybe a less technical answer would be easier for me to understand.

    Thanks-
  • in reply to KarCre
    So by a sweep account you mean that the 3 operating bank accounts clear to the sweep account every night?
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