Export Bank Reconciliation in Excel format before closing the bank reconciliation for the month

From the FENXT web view, we need to be able to export Bank Reconciliation in Excel format before closing the bank reconciliation for the month. This is very important as I have transactions imported from Raiser's Edge that we need broken down by project ID in the operating account, for reconciliation purposes. Hence, I have to do the math for multiple transactions to get to one lump sum deposited, and as it appears on the bank statement.

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