Bank Reconciliation |
For each General Ledger Account used in the
system, there is a corresponding Bank Account, as established in the Maintain Bank Master
routine. Therefore, transactions affecting General Ledger Accounts are reflections of
transactions affecting the actual Bank Account. For example, when the user posts a
transaction in eQuinox that debits a specified GL Account, the corresponding Bank Account
will also be debited when the transaction is processed. The Bank
Reconciliation routine allows the user to compare Bank Statements to the Firm's
eQuinox Account Statements and ensure that the transactions and balances of the GL
Accounts and the Bank Accounts are in sync. When the Bank Reconciliation routine is accessed from the eQuinox main menu, the screen shown below will be displayed. |
Field Definition |
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Entering
Query Criteria The first section of this form allows the user to enter query criteria. The user can execute a query based solely on the GL Account and the Accounting Period, or they may also select whether or not Reconciled Records are to be included in the query results as well. |
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GL
Account The GL Account for which the user wishes to view transaction details. A selection may be made from the List of Values provided.
Query
Reconcile Status
Account
Period |
Bank
Transactions
The following section of the form displays the query results. Details for each transaction for the specified GL Account (i.e. the GL Account that the query was based on) are displayed. Note: This section offers the user two options for reconciling records; they can either user the Recon field to select records for reconciliation, or they can use the Reconcile Mode, Using, #/ID, and Amount fields to manually enter the information for the records they wish to reconcile. |
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Tran
Ref ID The Transaction Reference ID, as was assigned to this transaction when it was first entered into the system.
Posting
Date
JN Type & No |
Month, Year |
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Chq/Rcpt No This field displays either the Cheque number or the Receipt number, depending on the type of transaction. For example, if the current record is a Credit record (i.e. a Trust Receipt), this field will display the Trust Receipt number. If the current record is a Debit record (i.e. a Trust Cheque), this field will display the Trust Cheque number.
Description
Cheques
Deposits
Rev
Recn'd
(Option #1) The section seen below represents Option #2 for reconciling records. Rather than just selecting records for reconciliation, the use must enter the appropriate reconciliation details and then click the Save button or press F10 to complete the process. |
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Cheque/Deposit The user must select a reconciliation mode from the drop down list provided. For example, if the user wants to reconcile a Cheque (Debit record), they must select the "Cheques" option; if the user wants to reconcile a Receipt (Credit record), they must select the "Receipt" option.
Using Tran Ref ID/Chq Rcpt No Amount The section of the form seen below displays general information about the query results as a whole. |
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Cheques Reconciled, Deposits
Reconciled The Count field displays the total number of Reconciled Debit records (Cheques) and the total number of Reconciled Credit records (Receipts) that were returned in the query results; the Total Amount fields display the total dollar amount of the Reconciled Debit records (Cheques) and the total dollar amount of the Reconciled Credit records (Receipts) that were returned in the query results. Cheques Unreconciled, Deposits
Unreconciled |
Once the user has finished entering or updating information, they must click the Save button or press F10 to commit the changes to the database. |