
This is very important, as this is the date that will appear in the bank presentation pages and will affect the General Ledger reconciliations if incorrect.


It is only at this point that the amount ‘Banked’ goes through to your Bank Reconciliation area for matching.

If you want to check the bank deposit slip before sending it to the Bank, select the Print Preview option and then click Start. You could print from here by clicking on Printer icon if you like but this WILL NOT clear the banked items from the Matching Window you must return to the Bank Deposit Report window,
UNSELECT Print Preview option THEN click on the START button. This will ask if you want to clear the Printed Deposit Slip (see note above)
NOTE: You can now prevent the deposit slips from printing by selecting the EXCLUE REPORT option available
Bank Deposit Slips
To reverse an incorrectly processed Bank Deposit Slip – Select the Already Printed Deposits Area and click so that a tick appears in the ‘Print Previous Bank Deposit’ option. Users can then access all past dated Banking Slips from the drop-down box directly below.
You should now see that the “Reversal’ button (bottom left hand corner) has become available for selection.
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