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Knowledgebase : Using Storman > Performing a Bank Reconciliation
The banking process is what you use to tell Storman that you have physically banked monies - in other words, it tells Storman that you have got all of the cash and / or cheque's that you received from Customers, and taken them to the bank to put into the bank ...
The following outlines steps to setup your Storman so that it can be used to reconcile payments received from customers (in Storman) with actual deposits received in your bank account. * Setup the Opening Balance and Date for your Bank account * Set all p...
Reconciling your banking is a vital part of your business. This article is helpful for reconciling your banking and checking bank balances against your books. During the following process you will be reconciling your bank account, you can also add bank fee tra...