Other Bank Items tab

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Product support for the Creative Solutions Accounting platform ended on September 30, 2020.

Help & How-To Center content for the Creative Solutions Accounting platform may be outdated and is used at your own risk.

Use the Other Bank Items tab only if the statement you are reconciling contains a section for items other than deposits or checks.

These items are cleared automatically and will appear as bank reconciliation adjustments when you create an export GL file.

Return to Impound Bank Reconciliation Overview (diagram)

Related topic: Impound Bank Reconciliation > Other Bank Items tab

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