Bank Reconcilliation
Posted: 18 Sep 2007, 09:39
I am about to do a bank reconcilliation and have come across an entry where there are several cheques that have been entered on a bank paying in book and added up incorrectly, but this amount has been accepted into the bank and onto the bank statement. Now when I come to reconcile the bank account in Sage there is a discrepancy so I am not able to reconcile this with the bank statement . The cheques that were paid in were for the correct amounts. I cannot change any of the amounts as this would then show an underpayment on one of the accounts. How do I go about correcting this.