Reconcile an opening balance
Description
Cause
Resolution
  1. Go to Banking, then open the relevant bank account.
  2. Select Reconcile.
  3. Set your Statement Date to the opening balance date.
  4. Enter your Statement End Balance.
  5. Enter a reference such as Opening Balance.
  6. Choose Apply.
  7. Select Reconcile beside the opening balance transaction.
  8. Select Finish.
  9. Select Print if you want a copy of the reconciliation.
Steps to duplicate
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