How Match Bank Transactions not on Arthur statements

Modified on Wed, 21 Feb 2024 at 11:07 AM

Note: We allow our users to handle transactions that are outside Arthur Statements e.g. Salaries, but we don’t show detailed receivable and payable balances for these types of transactions or their related contacts. We just have the functionality to allow you to reconcile against them [embed][/embed] Step 1: Go to Financials > Bank Accounts   Step 2: Select Start Reconciliation on the relevant Bank account   Step 3: To the right of the statement line containing a Non-Arthur transaction select 'Not a match?'   Step 4: Select the 'Assign to' Box   Step 5: Pick if it's an Income, Expense, Asset or Liability   Step 6: Select a Payee, Transaction type, VAT code and description. Please note: These Payees show in OTHER CONTACTS   Step 7: Click Match To add your own transaction types. Go to Financials > Analysis codes > Fill in Details > Select Available for cashbook reconciliation > Make sure to select an account type e.g. expense.

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