Important! To save a copy of the Reconciliation report for future reference, make sure the Create PDF of the report file check box is selected before you click [Final]. If check box is cleared before you click Final, a report is not created. You cannot go back and perform the reconciliation again to create the same report.
1 | Open 1-5 Bank Reconciliation. |
2 | In the Account# box, enter the bank account number. |
3 | Click the Display button. |
4 | Select the Status column. |
5 | Click the Open button. |
6 | On the File menu, click Save. |
7 | On the Save Bank Reconciliation window, click the Final button. |
Reconciliation-in-process check box |
For additional online resources for Sage 100 Contractor products, visit the Sage Customer Portal. Use the portal to access the knowledgebase, chat online with customer support, or enter a customer support ticket.
For additional training on Sage products, visit Sage University.