G061 - GL-1061 Bank Reconciliation Integration
General Ledger
Current Version
Version 7.30
Last Modified: Jun 14, 2024
Required Modules: G/L
Compatible with Sage Service Update: 2024 (7.30) PU0, PU1
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Allows you to associate Bank Codes with specific General Ledger Account Numbers by Source Journal. When that Source Journal is referenced in General Journal update then it will post each line’s transaction amount to the Bank Code associated with that account as a ‘Deposit’ type Bank Reconciliation transaction.
Download the installer below.
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- Version
- Compatible With
- Last Modified
- Manual (pdf)
- Installer (exe)