This is an exceptional processing, for instance when a new folder is opened.

When importing the data, only the payment postings or the bank statements can be imported. Thus, to avoid renewing a manual reconciliation that has been previously performed, a single-entry reconciliation can be started to reconcile, either payment entries (in the GACCENTRY file) or statement lines (RELBANK file) without trying to reach a balance.

Prerequisite

See also Refer to documentation Implementation

Screen management

Entry screen

 

This function is presented under the form of a selection screen used to define the reconciliation terms along with the selection criteria.

Selection criteria

Bank

The bank of the operation needs to be defined (the associated company and account are displayed).

Date range

A range is applied to the accounting dates when imported or entered accounting postings should be reconciled.

The range is applied to the operation dates when reconciling the transactions of a bank statement.

Site ranges:

It is possible to limit the reconciliation to those operations recorded under a set of selected sites.

Reconciliation terms

It is necessary to specify if the single-entry reconciliation is executed on accouting postings or on bank statements.

The assignment of the reconciliation code is comprised of an asterisk.

Error messages

In addition to the generic error messages, the following messages can appear during the entry :

 "You do not have access to the bank xxxxx"

This message appears when the user profile code does not authorize access to the "RECONCILIATION WITHOUT OFFSET" function for the selected bank.

"Account in the process of being reconciled"

This message appears if the bank account is being reconciled or if the reconciliation of said bank account is being reversed by the processes.

  • SUBRAB "BANK RECONCILIATION"
  • SUBCHK "RECONCILIATION"
  • RECONCILIATION REVERSAL "RECONCILIATION REVERSAL"
  • BANK STATEMENT CANCELLATION "ANURBK".

These processes cannot be carried out together on the same bank.

Tables used

See also Refer to documentation Implementation