Reconciliation Account Field, G/L Account Table

Specifies whether this general ledger account will be included in the Reconciliation window in the general journal. To have the G/L account included in the window, place a check mark in the check box. You can find the Reconciliation window by clicking Actions, Posting in the General Journal window.

The Reconciliation window is used after you have filled in a general journal (but before you post it) to reconcile the liquid resources with the day's payments received and made.

Tip

For more information on how to work with fields and columns, see Work with Data. For assistance in finding specific pages, see Search.

Parent Tables

Table Location
G/L Account Table General Ledger
G/L Account Table General Ledger

See Also

Reference

G/L Account Card
Reconciliation