Export Saved and Reconciled Bank Reconciliations
This export enables you to review all saved and reconciled bank transactions and the dates on which the transactions were saved/reconciled.
Export the Report
From a company/partnership, select the Banking tab.
Select the bank account you wish to reconcile and click Edit Bank Account or double-click the account to open it.
From the Reconciliation tab, click Export > Export Saves/Reconciliations List.
You export now opens in a spreadsheet with a list of your saves/reconciliations.
Introduced in version 2019.9.27.6539 on 21/11/2019

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