How to make a manual reconciliation?
Sequence > Left Navigation Bar > Banking > Accounts > Select Account
If the automatic transaction does not detect a match, you can manually reconcile it with your bank statement.
To do this, follow the steps below:
- Click on the transaction to be reconciled.

- From the two available options, select "Manual reconciliation."

- You can attach a supporting document if desired.

- Select the category based on the type of transaction.

- Select the customer.

- Select the counterparty accounting account.

- Add VAT if applicable.

- To complete the reconciliation, click "Validate."

- To view the created reconciliation, click on "Reconciled transactions."

- Select the transaction you just reconciled.

- If an error occurred in the reconciliation and you wish to cancel it, click on "Cancel reconciliation."

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Then, click the "Confirm" button to finalize the cancellation.
