Visma.net ERP
About Journal reconciliation
In the Verifikationsavstämning (GL30201S) window you reconcile the general ledger account transactions, to ensure that the accounts contains correct transactions.
Which accounts to be reconciled is set up in the Inställningar för verifikationsavstämning (GL30200S) window.
Features
- You can reconcile by selecting the different transactions and click the Reconcile button
- You can Void a reconciliation document to start again
- You can hide transaction for future reconciliation document
- You can for information purpose show transaction as:
- Unposted
- Reclassified
- Hidden lines
Related concepts
Fönster i Redovisning - översikt
Related reports
Redovisningsrapporter - översikt
Related tasks
Set up an account for reconciliation
Related windows