How do I Load a Saved Nominal Reconciliation?
From Catalyst
Summary
This explains how to load a Nominal Reconciliation which was saved as an 'In Progress' event.
More Information
This option allows you to continue reconciling a centre if you had to save it part way through.
Go to " Nominal Ledger Nominal Reconciliation".
- On the "Centre" field, press <Shift+F2>.
- Enter the centre by typing the code or press <Ctrl+F1> to search for a centre.
If you press <F1> or <Shift+F1>, you will scroll through only those centres available to be reconciled via the Nominal Reconciliation program |
- Enter the date range covering the period the reconciliation was saved in.
- Click [Search].
- Alternatively leave the dates blank and click [Search] to view a list of all events.
All saved reconciliations will be marked as 'In Progress'. |
- Select the event to load.
- Click [Choose].
The previously saved event will be loaded. Continue reconciling the centre following these instructions.
See also
- How do I set a nominal centre to be reconciled?
- How do I reconcile a nominal centre?
- How do I Reverse a Nominal Reconciliation?
- Reconciling your bank account
- How to process a month end
- What should I consider at month end?
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Tags
RP11