Bank Rec Cloud Tips & Tricks Webinar
Date/Time
Date(s) - Oct 09
2:30 pm EDT - 3:15 pm EDT
Cost: No Cost
Course Overview:
This class is designed to help users identify and resolve unreconciled differences in BS&A’s bank reconciliation process, especially when no single transaction clearly explains the imbalance.
Participants will learn how to verify statement dates, check for missing or unposted entries, and review prior reconciliations for backdated activity. The course also covers deposits in transit, Payroll and AP check totals, and how to compare system data to bank statements. Emphasis is placed on using system tools and reports to spot patterns and subtle issues that cause discrepancies. Ideal for users seeking a deeper understanding of how to maintain accurate and balanced reconciliations.
Join our customer webinar to understand more about the bank reconciliation process in BS&A’s General Ledger module.
Bookings
Bookings are closed for this event.

