Reconcile Bank Account to Bank Statement In QuickBooks

One of the most important processes in the monthly close is to reconcile your bank statement. It is really simple to do in QuickBooks – the hard part is making sure all the transactions that hit the bank have been recorded in your QuickBooks file. Essentially you reconcile to be sure that every transaction that has hit the bank is recorded, and to double-check to make sure there were not mistakes at the bank.

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