Visma Net
Create a reconciliation statement
- Go to the Reconciliation statements (CA302000) window.
- In the Cash account field, click and select the cash account for which you want to create a reconciliation statement.
You can select among the cash accounts that have the option Requires reconciliation selected in the Cash accounts (CA202000) window. - In the Reconciliation date field, enter the date in question.
- In the Load documents up to field, enter the latest transaction date you want to include..
- In the Statement balance field, enter the balance from the bank statement.
- Click .
Work process overview
Related tasks
Reconcile a reconciliation statement
Release a reconciliation statement
Void a reconciliation statement
Quickly record cash entry task
Related windows
Reconciliation statements (CA302000)
Reconciliation statement history (CA302010)
Related concepts