Manual Bank Reconciliation

Cybrosys Techno Solutions, www.cybrosys.com

...The traditional way of reconciling bank statement...

What it does ?

This module replaces the Odoo default bank statement reconciliation with traditional way of just putting the date in each line
  When You click on "New Statement" a window will open
  There you can see the list on journal items that are 'not reconciled'


You can see the details about the current balance as per company books, bank balance based on already reconciled journal entries as 'Balance as per bank' and difference between them as 'Amount not reflected in Bank'

   Fill the dates mentioned in bank statement in 'Bank.St Date' column of respective line. Click on 'Save' button before closing the window.

Hope you have noticed the changes in Balance as per company books, Balance as per bank and Amount not reflected in Bank

   You will be back on dashboard now. Did you notice the status updated there also
   One more thing to point out is, this will also mark the bank payments as 'Reconciled'

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