Bank Reconciliation – Transaction Code Listing
Transaction codes facilitate the efficient classification of numerous bank
transactions such as disbursements, receipt and transfer transactions recorded
in the Bank Reconciliation module. By using these transaction codes, bank
transactions are better organized resulting in the speedy preparation of the
bank reconciliation statements. The Transaction Code Listing shows detailed
information about the transaction codes set up in AccountMate using the
Transaction Code Maintenance function. This report is helpful for reviewing the
completeness of the recorded transaction codes and in determining the propriety
of the settings defined for each transaction code.
You can generate this report for active transaction codes only, inactive
transaction codes only, or both. You can also opt to include GL distribution in
this report.
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