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Wouldn’t it be easier for the system to start the bank reconciliation on the day the bank account was opened.

Wouldn’t it be easier for the system to start the bank reconciliation on the day the bank account was opened?
  • Guest
  • Jan 10 2017
  • Acknowledged
  • Jan 10, 2017

    Admin response

    Hi Richard, It will automatically default depending upon when the account was added to the system, but you can amend this date if you wish? This was implemented to simplify the process for those who had just started running their business and therefore their first reconciliation period tended to coincide with when they set up their business. If this suggestion does get a number of votes from other users we can certainly look at making a change though.
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