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The purpose of the Checkbook Reconciliation Record View is to identify all the checkbook transactions that have The purpose of the Checkbook Reconciliation Record View is to identify all the checkbook transactions that have cleared the bank. From here, users can start a new reconciliation, assign all the transactions that are being reconciled (cleared), and edit the cleared amount of specific transactions if necessary. When a Reconciliation is Posted, the checkbook balance is updated and the Checkbook Transactions Inquiry is updated with the reconciliation information. Checkbook reconciliations do not make journal entries when posted.

Software Version: YYYY.MM.DD and newer

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A non editable text box that calculates the adjustment that would be needed to balance the checkbook based on the the current informationin the checkbook's currency, displayed in the currency format. This label and field are only visible for transactions in the status of "New" or "Approved" once values have been entered for:

  • Checkbook
  • Reconcile to Balance
  • Bank Balance as of
  • Transaction Cutoff

This is calculated by taking the amount entered in the 'Reconcile to Balance' and subtracting the balance in the 'Rec. + Cleared' field. This amount must be be 0.00 to Approve and/or Post the transaction. How do alert users that they should fix it but not required them to?

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the transactions that are being reconciled (cleared), and edit the cleared amount of specific transactions if necessary. When a Reconciliation is Posted, the checkbook balance is updated and the Checkbook Transactions Inquiry is updated with the reconciliation information. Checkbook reconciliations do not make journal entries when posted.

Software Version: 2023.12.19 and newer

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Toolbar IconsDescriptionExcel Insert excerptExcel - GlobalExcel - GlobalnopaneltrueEdit AmountsOpens the 'Edit Amounts' window to allow users to change the 'Cleared Amount' for a transaction.Include Transactions Insert excerptInclude Transactions (Multi-Select) - RVInclude Transactions (Multi-Select
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Delete
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Delete - RV Header
Delete - RV Header
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Grid Layout
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Grid Layout - Global
Grid Layout - Global
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Help
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New
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Print
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Save & Refresh

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Save & Refresh - RV Header
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 This is disabled when the Status is Ready to Post or Posted.

Header FieldsDescription
Adjustment Needed

A non editable text box that calculates the adjustment that would be needed to balance the checkbook based on the the current reconciliation information, in the checkbook's currency, displayed in the currency format. This is calculated as [Reconcile to Balance] - [Rec. & Cleared]. This label and field are only visible for transactions in the status of "New" or "Approved", they are not visible for Posted reconciliations.

This amount must be 0.00 to Approve and/or Post the transaction. 

  • If this amount is 0.00 then the Checkbook is in balance with the bank.
  • If this amount is positive, a positive adjustment is necessary before the Checkbook will balance to the bank balance.
  • If this amount is negative, a negative adjustment is necessary before the Checkbook will balance to the bank balance.

This is a calculated field that is not stored in the database.

Bank Balance as of

An editable date field to enter the date that the 'Bank Balance' is calculated thru. This would be the statement date if reconciling from a bank statement. This defaults to blank but is required before any transactions can be added to the Grid. This date must be >= the 'Last Reconciled Date' and <= the 'Transaction Cutoff' date. This date is not required to be in an open fiscal period.

Database Field: ERPx_MFCheckbookReconciliation.BankBalanceDate

Bank Balance

A non editable text box that displays the amount in the 'Reconcile to Balance' fieldin the checkbook's currency, displayed in the currency format. This is informational only to assist in seeing how the 'Adjustment Needed' value is calculated. This label and field are only visible for transactions in the status of "New" or "Approved", they are not visible for Posted reconciliations.

This is a calculated field that is not stored in the database.

Checkbook

A single select lookup to select the Checkbook that is being reconciled. This defaults to blank but is required before transactions can be assigned to the reconciliation transaction. This is only editable for transactions in a Status of "New". If the checkbook is changed, any transactions currently "Included" on the reconciliation will be removed and the contents of the grid will refresh to reflect transactions for the updated checkbook. If the Checkbook selected is already on an open (unposted) reconciliation transaction, the message "This Checkbook is already assigned to Reconciliation [ReconciliationTransID]." will be displayed on Save. 

The lookup contains a blank value, the current assigned value, and all 'Active' checkbooks, sorted by Checkbook ID. The values in the lookup are displayed as:

  • [Checkbook ID] for Checkbooks in the Home Currency
  • [Checkbook ID] - ([Checkbook Currency]) for checkbooks in a foreign currency

Database Field: ERPx_MFCheckbookReconciliation.CheckbookSK

Cleared

A non editable text box that shows the sum of the transactions that are currently marked as "Included" for this reconciliationin the checkbook's currency, displayed in the currency format. This is a calculated field that is automatically updated as transactions are tagged / un-tagged as "Included". This is informational only to assist in seeing how the 'Adjustment Needed' value is calculated. This label and field are only visible for transactions in the status of "New" or "Approved", they are not visible for Posted reconciliations.

This is a calculated field that is not stored in the database.

Bank Balance as of

An editable date field to enter the date that the 'Bank Balance as of' is calculated thru. This would be the statement date if reconciling from a bank statement. This defaults to blank but is required before any transactions can be added to the Grid. This date must be <= the 'Transaction Cutoff' date but it is not required to be in an open fiscal period.

Linked Database Field: ERPx_#####.#####.

Bank BalanceCleared Adjustments

A non editable text box that shows the sum of all the Adjustment transactions that have been marked as "Included" for this reconciliationin the checkbook's currency, displayed in the currency format. This is a calculated field that is automatically updated as Adjustment transactions are tagged / un-tagged as "Included".

This is a calculated field that is not stored in the database.

Cleared Deposits

A non editable text box that shows the data from the 'Reconcile to Balance' fieldthe sum of all the Deposits (Deposits and Transfer: Receipt transactions) that have been marked as "Included" for this reconciliationin the checkbook's currency, displayed in the currency format. This label and field are only visible for transactions in the status of "New" or "Approved" once values have been entered for:

  • Checkbook
  • Reconcile to Balance
  • Bank Balance as of
  • Transaction Cutoff

currency, displayed in the currency format. This is a calculated field that is not stored in the database.

Checkbook

A multi-select lookup to select the Checkbook(s) that are being reconciled. This defaults to blank but is required before transactions can be assigned to the reconciliation transaction. This is only editable for transactions in a Status of "New". If the checkbook(s) is changed, any transactions currently "Included" on the reconciliation will be removed and the contents of the grid will refresh to reflect transactions for the updated checkbook(s). 

The lookup contains a blank value, the current assigned value(s), and all 'Active' checkbooks. The values in the lookup are displayed as:

[Checkbook ID] - [Cash Account] and if the checkbook is a foreign currency then "- [Checkbook Currency]" sorted by Checkbook ID and Cash Account.

(lightbulb) In most instances, only a single checkbook will be selected. However, if more than one checkbook is selected then they must all be assigned the same 'Cash Account' and must all be in the same currency. If not, the message "All selected Checkbooks must be assigned to the same Cash Account and must be in the same currency." will be displayed on update.

Cleared AdjustmentsA text box to to show the sum of all the Adjustment transactions that have been marked as "Included" for this reconciliation

automatically updated as Deposit transactions are tagged / un-tagged as "Included".

This is a calculated field that is not stored in the database.

Cleared Payments

A non editable text box that shows the sum of all the Payments (Payments and Transfer: Sent transactions) that have been marked as "Included" for this reconciliationin the checkbook's currency, displayed in the currency format. This is a calculated field that is automatically updated as Payment transactions are tagged / un-tagged as "Included".

This is a calculated field that is not stored in the database.

Last ReconciledA non editable text box that shows the 'Bank Balances as of' value from the last reconciliation for the Checkbook being reconciled. This label and value are only visible for reconciliation transactions in a Status of "New" or "Approved".
Last Reconciled Amt.A non editable text box that shows the 'Reconcile to Balance' of the the last reconciliation for the Checkbook being reconciledin the checkbook's currency, displayed in the currency format. This is informational only to assist in seeing how the 'Adjustment Needed' value is calculated. This label and field are only visible for transactions in the status of "New" or "Approved", they are not visible for Posted reconciliations.
Reconcile to Balance

An editable text box to enter the bank balancein the checkbook's currency, displayed in the currency format.

. This is a calculated field that is automatically updated as Adjustment transactions are tagged / un-tagged as "Included".
Cleared DepositsA text box to to show the sum of all the Deposit transactions that have been marked as "Included" for this reconciliationin the checkbook's currency, displayed in the currency format.. This is a calculated field that is automatically updated as Deposit transactions are tagged / un-tagged as "Included".
Cleared PaymentsA text box to to show the sum of all the Payment transactions that have been marked as "Included" for this reconciliationin the checkbook's currency, displayed in the currency format.. This is a calculated field that is automatically updated as Payment transactions are tagged / un-tagged as "Included".
Rec. + Cleared

A non editable calculated field that adds the current checkbook balance of all reconciled transactions to the cleared transactions from this transaction. This is the amount in the checkbook's currency, displayed in the currency format. This label and field are only visible for transactions in the status of "New" or "Approved" once values have been entered for:

  • Checkbook
  • Reconcile to Balance
  • Bank Balance as of
  • Transaction Cutoff

This is a calculated field that is not stored in the database.

Reconcile to Balance

An editable text box to enter the bank balance, in the checkbook's currency, displayed in the currency format. This defaults to 0.00 and is required to Approve and/or Post. If not, the message "Reconcile to Balance is required." will appear on Save.

Linked Database Field: ERPx_#####.#####

Status
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Transaction Cutoff

A date field that identifies the 'date thru' used to select un-reconciled transactions in the grid. This is automatically updated anytime the 'Bank Balance as of' changes by adding the # of days from the '#Cutoff Days Preference' to the 'Bank Balance as of' date. Once this value has been assigned, it can be changed to any date >= 'Bank Balance as of' date. If not, the message, 'The Transaction Cuttoff date must be >= the Bank Balances as of date.' will be displayed on save.

This is a calculated field that is not stored in the database.

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Un-Reconciled Checkbook Transactions Grid

This defaults to 0.00 and is required to Approve and/or Post. If not, the message "Reconcile to Balance is required." will appear on Save.

Database Field: ERPx_MFCheckbookReconciliation.Amount

Status

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Database Field: ERPx_MFCheckbookReconciliation.TransactionStatusSK

Transaction Cutoff

A date field that identifies the 'date thru' used to select un-reconciled transactions in the grid. This is initially auto set by adding the number of days from the '#Cutoff Days Preference' to the 'Bank Balance as of' date. Once this value has been assigned and the transaction is Saved, it can be overwritten if necessary to any date >= 'Bank Balance as of' date. However, this will be automatically reset anytime the 'Bank Balance as of' changes. This date must be >= 'Bank Balance as of' date. If not, the message "The Transaction Cuttoff date must be >= the Bank Balances as of date." will be displayed on save.

Database Field: ERPx_MFCheckbookReconciliation.TransactionCutoffDate

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Un-Reconciled Checkbook Transactions Grid

The un-reconciled Checkbook Transactions grid is used to show all the checkbook transactions that are part of the reconciliation. For Reconcile transactions in a Status of "New" or "Approved" this grid will contain all the checkbook transactions, for the selected Checkbook, that occurred on or before the 'Transaction Cutoff' date, that have not been reconciled. For Posted transactions, this grid will contain all the checkbook transactions that were included on the reconciliation. 

Linked Database Field: ERPx_#####.#####.

Linked Database Field: ERPx_#####.#####.

Toolbar IconsDescription
Excel
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Excel - Global (old)
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Edit Amounts

Opens the 'Edit Amounts' window to allow users to change the 'Cleared Amount' for a transaction. 

(lightbulb) Because the Amounts for 'Deposits' and 'ACH Check Batches' are summarized from child records, the 'Cleared Amount' cannot be edited for 'Deposits' and 'ACH Check Batches'.

Include Transactions
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Include Transactions (Multi-Select) - RV Grid
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Remove Transactions
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Remove Transactions (Multi-Select) - RV Grid
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FieldsDescription
Checkbox
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Checkbox (Tag)- RV
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Remove TransactionsAmount

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Remove Transactions (Multi-Select) - RVRemove Transactions (Multi-Select) - RV
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Checkbox
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Amount
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Amount (Transaction Amount) - List View/Inquiry FieldAmount (Transaction Amount) - List View/Inquiry Field
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Cleared Amount

A non-editable text box to displays the amount that is being reconciled (cleared the bank). This most often matches the transaction amount but will be different if there was a bank error or data entry error. The 'Cleared Amount' defaults from the 'Amount' for all "Included" transactions and can only be edited by clicking on the 'Edit Amounts' icon to open the 'Edit Amounts' window. This can only be edited for transactions that are included on the current reconciliation.

Linked Database Field: ERPx_#####.#####.

Comment

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Comment - List View/Inquiry FieldComment - List View/Inquiry Field
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GL Date
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GL Date - List View/Inquiry FieldGL Date - List View/Inquiry Field
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IncludedPayee NameReconciliation Group

Amount - Transaction
Amount - Transaction
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Database Field: ERPx_MFCheckbookTransaction.Amount

Cleared Amount

A non-editable text box to displays the amount that is being reconciled (cleared the bank). This most often matches the transaction amount but will be different if there was a bank error or data entry error. The 'Cleared Amount' defaults from the 'Amount' for all "Included" transactions and can only be edited by clicking on the 'Edit Amounts' icon to open the 'Edit Amounts' window. 

Database Field: ERPx_MFCheckbookTransaction.ReconciledAmount

Comment

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Comment
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Database Field: ERPx_MFCheckbookTransaction.Comment

GL Date

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GL Date
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Database Field: ERPx_MFCheckbookTransaction.GLDate

Included

A Checkbox to show which transactions are included on the reconciliation. This can only be updated using the 'Include Transactions' and/or 'Remove Transactions' icon, for reconciliations in a Status of "New". If the checkbox is checked the associated transaction is included on the reconciliation, if it is unchecked then the transaction has not been included. This value is not stored in the database.

Payee Name

The name entered as the Payee on Payments. This is only populated for Payment records. This is most often the value in the 'Payment Name' field on the AP Vendor, Fishermen, or Loan account Address master file.

Database Field: ERPx_MFCheckbookTransaction.PayeeName

Reconcile Group

Identifies what group the transactions belong to on a bank statement. The groups are assigned as follows:

  • Deposit: for Deposits and Transfer: Receipt transactions
  • Payment: for ACH, Checks, Draft, Manual and Wire payments and Transfer: Sent transactions
  • Adjustment: for Adjustment transactions

This is a calculated field that is not stored in the database.

Reference

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Reference - List View/Inquiry FieldReference - List View/Inquiry Field
Reference
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Linked Database Field:ERPx ERPx_#####MFCheckbookTransaction.#####.Reference

Trans. Date

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Doc Date - List View/Inquiry Field
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Linked Database Field:ERPx ERPx_#####MFCheckbookTransaction.#####.TransactionDate

Trans. Type

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Def - Transaction Type - List View/Inquiry FieldTransaction Type - List View/Inquiry FieldTypes
Def - Transaction Types
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Linked Database Field:ERPx ERPx_#####.#####MFCheckbookTransaction.TransactionTypeSK

TransactionTrans. ID - List View/Inquiry Field

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Trans. ID - List View/Inquiry Field

Transaction ID
Transaction ID
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Linked

Clicking on this link opens the associated Checkbook Deposit Record View, Checkbook Adjustment Record View or Process Payments Record View in a new tab.

Database Field:

 ERPx

 ERPx_

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MFCheckbookTransaction.

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TransactionID

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