For our new users, setting up the bank reconciliation function is very simple
Setting it up: Follow the guides below as normal just remember: Set the conversion date as the date you want bank transactions to start appearing. Also, set the bank balance as what it was the day before.
https://www.arthuronline.co.uk/knowledgebase/how-to-set-up-a-bank-balance/
Depending on if you would like to...
- Use a Live Feed to automatically retrieve your bank statement: https://www.arthuronline.co.uk/knowledgebase/how-to-set-up-your-live-bank-feed-using-arthur/
- Use a CSV import to generate your bank statement: https://www.arthuronline.co.uk/knowledgebase/how-to-import-a-bank-statement/
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