> Cash Book / Reconcile bank account / Reconcile electronic bank statement / Amend imported bank transactions

Amend transactions from the imported bank file

To amend imported transactions

Open: Cash Book > Period End Routines > Bank Reconciliation.

  1. Select the bank account.
  2. From menu bar choose Tools > Amend Bank Transactions.
  3. Select the transaction to be changed and click Reconcile or Unreconcile where appropriate.
  4. Click Save.

Go to top