Bank Reconciling

We are in our first month with BB. Where do we go for help for tying out the bank to BB? Our bank reconciliation process is very difficult.

Comments

  • @Julie Upvall there are several standard reports in RENXT that you can use for financial reconciliation purposes, including the Gift Detail and Summary Report, Cash Receipts Journal and Account Distribution Report. The Gift Detail and Summary Report is available in both views, the other two reports only in database view.