Bank Account Reconciliation

sunnyksunnyk Member Posts: 280
IN NAV 2016, We post a transaction of 1000 in June'17. Since it is posted in 2 different cheques but the Finance has posted the cash receipt journal in one line (Lumpsum), there is only one cheque that is cleared by the bank in the latest statement. How to reconcile this?
Lets Say Checque A is 800 and Checque B is 200 but in Bank Ledger we have one Document Line showing 1000.

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