Once a check is posted where do I manually clear it in order to continue my bank reconciliation?

1 min. readlast update: 01.25.2024

Go to Disbursements -> Check Reconciliation -> Check Reconciliation Entry (AP0053)-> Fill in the screen -> Click OK. (you can do one check at a time or a consecutive range of multiple)

You can also go to Single Check Reconciliation Entry (AP0052) (here, you can only do one check at a time, not a range)

Was this article helpful?