Bank Statement Import . . . Bank Statement Import Adjustments

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

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Use this dialog to review adjustments while performing a bank reconciliation with the Bank Statement Import.

This dialog opens automatically if an adjustment was specified in either the Unmatched Deposits and Other Credits dialog or the Unmatched Checks and Other Debits dialog during the bank statement import process.

See also: Bank Reconciliation Overview

Special information

Automatic entry fields: The Description, User Description, Amount, and Type fields will automatically fill using the information from the bank statement file. Only the User Description, GL account, and Type fields may be edited.

Recurring Adjustments: After the first bank statement import, any transaction with a description matching an adjustment in a previous bank reconciliation will automatically be assigned as an Adjustment in the Apply to field on the Unmatched Deposits and Other Credits dialog or the Unmatched Checks and Other Debits dialog. The selection will appear in red to alert you that it should be reviewed and edited if necessary. By default, the User Description, GL account, and Type fields will automatically fill with the information from the previous bank reconciliation.

Fields & buttons

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