TRAVERSE Global v11.1

Bank Reconciliation - Setup and Maintenance Overview

Before using the Bank Reconciliation system, you must follow the setup procedures outlined below. Setup procedures include items such as defining the banks and the accounts you do business with and entering initial account balances, setting up recurring adjustments and assigning codes and IDs. Follow the setup procedures carefully, because the choices you make determine how the system operates.

Gather and organize your accounting data:

  • a chart of accounts for your business
  • purchasing and payment cycles
  • identification and account information for your banks and bank accounts

To set up the Bank Reconciliation application, follow these steps:

  1. Use the Business Rules function to define how you want the system to work.
  2. Define the IDs and codes you plan to use. See Setting Up IDs and Codes.
  3. Set up bank accounts.
  4. Set up IDs and codes. IDs and codes tell the system how to identify each item on file. The system uses these identifiers to organize information.
  5. You must assign as ID to each bank account you use. Most functions require you to specify a bank ID for payments and receipts. For information about defining a bank account ID, see the Bank Accounts function.