{"id":1372,"date":"2015-03-11T12:50:47","date_gmt":"2015-03-11T12:50:47","guid":{"rendered":"http:\/\/blog.chipincorp.com\/?p=1372"},"modified":"2016-03-09T10:17:43","modified_gmt":"2016-03-09T10:17:43","slug":"how-to-reconcile-in-quick-cheque","status":"publish","type":"post","link":"https:\/\/www.quick-cheque.com\/blog\/how-to-reconcile-in-quick-cheque\/","title":{"rendered":"How To Reconcile In Quick Cheque"},"content":{"rendered":"<hr \/>\n<p style=\"text-align: justify;\">A company&#8217;s general ledger contains a record of the transactions (checks written, receipts from customers, etc.) that involve its checking account. The bank also creates a record of the company&#8217;s checking account when it processes the company&#8217;s checks, deposits, service charges, and other items. Soon after each month ends the bank usually mails a bank statement<span class=\"no-break\">\u00a0<\/span>to the company. The bank statement lists the activity in the bank account during the recent month as well as the balance in the bank account.<\/p>\n<p style=\"text-align: justify;\">When the company receives its bank statement, the company should verify that the amounts on the bank statement are consistent or compatible with the amounts in the company&#8217;s Cash account in its general ledger and vice versa. This process of confirming the amounts is referred to <i>as Reconciliation .<\/i>The benefit of reconciling the bank statement is knowing that the amount of Cash reported by the company (company&#8217;s books) is consistent with the amount of cash shown in the bank&#8217;s records.<\/p>\n<h3 style=\"text-align: justify;\"><strong><span style=\"color: #4b088a;\">Lite\u00a0Edition<\/span><\/strong><\/h3>\n<p>This functionality is applicable to only Premium &amp; Enterprise Editions. You can contact our Sales Team\u00a0on <a href=\"mailto:support@quick-Cheque.com\" target=\"_blank\">support@quick-Cheque.com<\/a> \u00a0in case you are using the Free or Lite Edition and would like to upgrade it.<\/p>\n<h3><strong><span style=\"color: #4b088a;\">Premium Edition<\/span><\/strong><\/h3>\n<h3 style=\"text-align: justify;\"><span style=\"color: #000080;\">Steps to Reconcile<\/span><\/h3>\n<ol>\n<li style=\"text-align: justify;\">Login to <span style=\"color: #ff0000;\">Quick Cheque<\/span>.<\/li>\n<li style=\"text-align: justify;\">Navigate to the Reconciliation screen by clicking Transactions \u2192 <span style=\"color: #0000ff;\"><em>Reconciliation<\/em>.<\/span><\/li>\n<li style=\"text-align: justify;\"><b><\/b>Select the Bank Account from the Account # dropdown menu for which you want to perform the reconciliation.\u00a0<b><\/b>Once you select the Account #, the Bank Name, Holder Name and the Current Balance will be filled up\u00a0automatically.<b><\/b><\/li>\n<li style=\"text-align: justify;\">Select the <strong>From<\/strong> &amp; <strong>To<\/strong> Date to\u00a0see the transactions during that date interval.<\/li>\n<li style=\"text-align: justify;\">Select the transactions that appear on your physical Bank Statement and update remarks in case required.<\/li>\n<li style=\"text-align: justify;\">Once done, click the <em><span style=\"color: #0000ff;\">Reconcile<\/span> <\/em>Button to save the changes.<\/li>\n<\/ol>\n<h3><strong><span style=\"color: #4b088a;\">Enterprise Edition<\/span><\/strong><\/h3>\n<ol>\n<li>Follow the same steps as for the Premium Edition.<\/li>\n<\/ol>\n<h4>Related Posts<\/h4>\n<ul>\n<li><a title=\"How to Add a Bank in Quick Cheque\" href=\"https:\/\/www.quick-cheque.com\/blog\/?p=605&amp;preview=true\" target=\"_blank\">How to add a Bank<\/a><\/li>\n<li><a title=\"How To Add An Account In Quick Cheque\" href=\"https:\/\/www.quick-cheque.com\/blog\/?p=851&amp;preview=true\" target=\"_blank\">How to add an Account<\/a><\/li>\n<li><a title=\"How To Add A Transaction In Quick Cheque\" href=\"https:\/\/www.quick-cheque.com\/blog\/?p=1007&amp;preview=true\" target=\"_blank\">How to add a Transaction<\/a><\/li>\n<\/ul>\n<p><span style=\"color: #ff0000;\">\u00a0<\/span><\/p>\n<hr \/>\n","protected":false},"excerpt":{"rendered":"<p>A company&#8217;s general ledger contains a record of the transactions (checks written, receipts from customers, etc.) that involve its checking account. The bank also creates a record of the company&#8217;s checking account when it processes the company&#8217;s checks, deposits, service charges, and other items. Soon after each month ends the bank usually mails a bank [&hellip;]<\/p>\n","protected":false},"author":4,"featured_media":0,"comment_status":"open","ping_status":"closed","sticky":false,"template":"","format":"standard","meta":{"footnotes":""},"categories":[59],"tags":[],"class_list":["post-1372","post","type-post","status-publish","format-standard","hentry","category-advanced-feautures"],"_links":{"self":[{"href":"https:\/\/www.quick-cheque.com\/blog\/wp-json\/wp\/v2\/posts\/1372","targetHints":{"allow":["GET"]}}],"collection":[{"href":"https:\/\/www.quick-cheque.com\/blog\/wp-json\/wp\/v2\/posts"}],"about":[{"href":"https:\/\/www.quick-cheque.com\/blog\/wp-json\/wp\/v2\/types\/post"}],"author":[{"embeddable":true,"href":"https:\/\/www.quick-cheque.com\/blog\/wp-json\/wp\/v2\/users\/4"}],"replies":[{"embeddable":true,"href":"https:\/\/www.quick-cheque.com\/blog\/wp-json\/wp\/v2\/comments?post=1372"}],"version-history":[{"count":2,"href":"https:\/\/www.quick-cheque.com\/blog\/wp-json\/wp\/v2\/posts\/1372\/revisions"}],"predecessor-version":[{"id":2669,"href":"https:\/\/www.quick-cheque.com\/blog\/wp-json\/wp\/v2\/posts\/1372\/revisions\/2669"}],"wp:attachment":[{"href":"https:\/\/www.quick-cheque.com\/blog\/wp-json\/wp\/v2\/media?parent=1372"}],"wp:term":[{"taxonomy":"category","embeddable":true,"href":"https:\/\/www.quick-cheque.com\/blog\/wp-json\/wp\/v2\/categories?post=1372"},{"taxonomy":"post_tag","embeddable":true,"href":"https:\/\/www.quick-cheque.com\/blog\/wp-json\/wp\/v2\/tags?post=1372"}],"curies":[{"name":"wp","href":"https:\/\/api.w.org\/{rel}","templated":true}]}}