Title: SAGE ACCPAC ERP
1SAGE ACCPAC ERP
- Bank Reconciliation
- Presented by
2BASICS OF BANK RECONCILIATION
- Flow of Information
- Receives information from A/P and Payroll
- Receives information from A/R
- Sends information to G/L
- Can import information about cheques and deposits
produced using other programs
3Bank Reconciliation Users
- Only one person at a time can perform a
reconciliation for a particular bank - Multiple workstations can reconcile different
banks at the same time
4General Rules Bank Services
- Do not post General Journal entries to
reconciling bank accounts in the General Ledger
5General Rules Bank Services
- It is recommended that the session date be the
same as reconciliation date - Reversing payments pay attention to the session
date - Use Bank Transfers to record the movement of
funds between reconciling banks
6General Rules Bank Services
- Use Return Payments to reverse AP Cheques (eg.
Stale dated, lost, stopped payment) - Original invoice will be re-instated
- If Cheque was issued via Miscellaneous Payment
- With Vendor - you can choose to have the
invoice reversed - Without Vendor the invoice is automatically
reversed
7General Rules Bank Services
- Use Return Customer Cheques to return AR Deposits
(eg. NSF cheques) - Original invoice is re-instated
- If Deposit was posted using Miscellaneous
Receipt - With Customer - you can choose to have the
invoice reversed - Without Customer the invoice is automatically
reversed
8Initial Setup
- A consultant must set up your first Bank
Reconciliation - What is Needed for Initial Setup
- A balanced bank reconciliation
- Bank statement
- List of outstanding cheques in detail
- List of outstanding deposits in detail
-
9Menu Changes
5.4 Menu Bank Services Bank
Reconciliation Bank Reports Bank Setup
5.5 Menu Bank Services Bank Periodic
Processing Bank Setup Bank Setup
Reports Bank Transactions Reports Bank
Transactions
10New Features Version 5.5
- G/L Integration Create G/L Batch
- Clear History
- Enter taxes on entries
- Enter taxes on Bank Transfer service
- Print Payment Register
- Transaction Listing report
11Bank Reconciliation - Summary Page
12Entries Page
- Enter service charges, interest income, and or
any other transactions from bank statement that
have not already entered into accounting system - Calculate taxes for taxable entries
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14Entries Page Taxable Entries
15Withdrawals Page
16DEPOSITS PAGE
17Individual Cheques within a Deposit
18Reconciliation Status
- Cleared in Future Period
- Cleared with bank error
- Cleared with write-off
19Returns Page
20Post Entries
- Allows quick posting of entries
- Can be do as often as you like
- Independent of Bank Reconciliation posting
- Pay attention to the date, year/period.
- Creates G/L batch of entries and updates the book
balance in Bank Reconciliation
21Post Entries
22Does it Balance?
- Use the Save and Calculate buttons on the Summary
page to determine if the Out of Balance amount is
zero. - Book Balance must equal G/L account balance.
23Tips to Balance
- Ensure all A/P, A/R and G/L batches are posted
for reconciling period - Scan for GL entries using Transaction reports
- Verify dates used in reconciliation
24Before Posting Reconciliation
- Print deposit status report
- Print withdrawal status report
25Post Reconciliation
- Removes all cleared items
- Can be done numerous times during period daily,
weekly, etc.
26After Reconciliation Posting
- Compare adjusted bank balance to the G/L account
balance - Use Account History Inquiry to obtain G/L bank
account balance quickly
27Reports
- Payment Register activities on a bank account
initiated from different applications - New security permission allow users without
rights to Bank Services to print the payment
register (trace missing cheques or follow-up on
customer refunds.
28Transaction Listing
- This report is a list of all transactions
recorded for a bank that allows you to compare
the transactions to the bank statement when doing
a bank reconciliation. - You can print the report to review bank activity
for a specified period. - You can print the report as a worksheet to enter
notes against each printed transaction and then
compare the report to the bank statement.
29Transaction Listing Report
30GL Integration
- Specify information to send to the GL
- Integration Tab where you choose format for
information being sent - Transactions Tab the types of transactions to
send to the GL
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34Demonstrate Import of OFX Statement here
35OFX Matching/Clearing
- Withdrawals are matched using elements from Sage
Accpac to those in the OFX file, in the following
order - - Cheque Amount
- - Cheque number
- - Reference number
- - Payee (Vendor) name
- - Comment
- If an error spread is defined, it matches the
amounts that fall within the range , although you
must approve the clearing of amounts that do not
match exactly
36Reconciling OFX Statements
- Automates the matching of transactions on your
bank statement to transactions in your Sage
Accpac ERP system - Use the Reconcile OFX Statements form to match
transactions from the imported bank statement to
transactions in Sage Accpac
37OFX Matching/Clearing
- Deposits are matched using elements from Sage
Accpac to those in the OFX file, in the following
order - - Deposit Amount
- - Transaction number
- - Comment
- - Payee (Customer) name
- If an error spread is defined, it matches the
amounts that fall within the range , although you
must approve the clearing of amounts that do not
match exactly
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39Reconcile OFX Statement
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41Reasons for Unmatched Entries
- They are bank entries (eg.interest, fees) not yet
entered into system - Discrepancy between system and your bank amounts
or description - Different F/X rates
- Amounts in system not yet cleared the bank
- Bank has used different descriptive information
than you used in your system
42Clear History
- Use the Clear Bank History function to remove
selected cleared and posted bank transactions. - Clear History clears the following records
- Bank Transactions.
- Reconciliation Posting Journal.
- Transfer Posting Journal.
- After Clearing Bank History
- Run Return Customer Checks or Reverse Payments.
The purged transactions should not appear in the
forms. - Print the Reconciliation Posting Journal and the
Transfer Posting Journal reports. The purged
journal records should not appear in these
reports.