Red receipt in Bank Recon

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Hi Guys,

So where I work, we are 2 people that can enter payments & receipts.

2 receipts were captured without my knowing (I have now learned to check first) I also entered those receipts, so I went back to my cashbook, using the same reference as the receipts but putting a -minus infront of the amount. The customer statements shows 4 receipts and 2 debits as I have "reversed" 2 receipts (statement is correct)

2 of these receipts are now red on my bank recon and I cannot update as it will put my balance off, what am I to do now to get the bank recon to balance?

Any changes will affect the customer statement, which I don't want.

Note: this is in the previous financial year..

Please help Slight smile

  • 0
    SUGGESTED

    Hi Monika,

    Please note that the reversals done correctly do not cause the bank recon to be out of balance.  You do not have to make any changes.

    Please refer to the attached document with regards to the bank reconciliation. Please locate the step about the red values in the bank reconciliation.

    0045.Bank Rec.pdf

    Let us know if the steps shared in the guide did help you, by clicking on the ellipsis(...) and then verify the answer.