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Is there an Excel template to reconcile business bank statments?

  1. #1
    Acct Rep
    Guest

    Is there an Excel template to reconcile business bank statments?

    I am looking for a template that will simplify the bank reconciliation process?

  2. #2
    Gordon
    Guest

    Re: Is there an Excel template to reconcile business bank statments?

    Acct Rep wrote:
    > I am looking for a template that will simplify the bank reconciliation process?


    How do you mean "simplify"? You will still need to manually tick off the
    bank statements against the cashbook entries. If you're looking for an
    AUTOMATED bank rec, then you're looking at comparisons of lists, and
    that gets complicated if (say) the bank has entered a cheque number
    correctly but with the wrong amount or vice-versa. It DOES happen - I've
    seen it. Also that assumes you can download bank statements into Excel
    and that your cashbook is either already in Excel, or can be exported to it.

    --
    Interim Systems and Management Accounting
    Gordon Burgess-Parker
    Director
    www.gbpcomputing.co.uk

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