Reconciling Bank Account Transactions
To track cleared dates and maintain a duplicate set of records for the AZ (cash basis) ledger when reconciling bank account transactions:
- Run the Create Cash Basis Entries program (R11C850) to process cash basis transactions and generate records for the AZ ledger. 
- Reconcile voided payments and receipts. - Run these programs: - Automatic Reconcile Void Payment (R09551) 
- Automatic Reconcile Void Receipt (R09552) 
 
- Run the Refresh Reconciliation File program (R09130) to reconcile bank account transactions for a period. 
- Run the Print Reconciliation Report (R09132P) for a list of any outstanding items that are un-reconciled. 
- In the Manual Reconciliation program (P09131), set these processing options to include an additional ledger type (AZ) and a cleared date: - Additional Ledger Type to Update 
- Cleared Date 
 
- Use the Manual Reconciliation program (P09131) to enter the date that the bank transaction cleared, and other necessary information.