[embed]https://www.youtube.com/watch?v=1qnqGWbjIBc[/embed]
Step 1: Go to Financials > Bank accounts Step 2: Select 'Start Reconciliation' on the relevant Bank account Step 3: Select 'Not a Match?' in the top right Step 4: You can select Add transaction and directly add in spent items, e.g. the contractor side of a transaction can be added easily this way. Or any payment to a property owner. Step 5: You can also use the Search function > select a transaction > Add an additional transaction after you have selected one by clicking 'Search & Add More' Step 6: Add the transaction by filling in the details and pressing add Step 7: Any transaction added will appear on the bank reconciliation screen, ready to be matched
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