This allows you to print a report very much like the Cash/Bank Statement report under Cash Book Reports above. You would probably include the reconciliation flag and any comment on this report.Foreign Currency systems have an additional report which processes non-base currency accounts reporting the values in the currency of the account. The procedure to print this report is exactly as described for Cash Book Reports.
The report gives a summary at then end of each account showing the Balance B/F (i.e. the balance at the start of the period), totals for the transactions reported – debit, credit and net totals – plus the closing balance. It also shows the total of the transactions reported that are unreconciled.
It also shows a statement balance that it the closing balance of this report less any unreconciled transactions – this may not match you last statement if there are unreconciled transactions from earlier periods still.
Article ID: 1069
Created On: Wed, Jun 27, 2012 at 3:47 PM
Last Updated On: Mon, Jun 19, 2023 at 6:56 PM
Online URL: https://kb.datafile.co.uk/article/bank-statement-report-bank-statement-report-fc-cashbook-1069.html