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Subledger Match Report
The Subledger Match Reconciliation Type
is perfect to compare the General Ledger account balance to the
related balance in a separate subledger. There are several examples of this report type and you
can get to them all from the Subledger Match Reconciliation
Type page.
Here is one of the sample reports for
the Accounts Receivable account.

Major Report Elements
- The top of the report shows the account number, the
account name and the date of the reconciliation.
-
The Balance per Subledger was input when preparing
the reconciliation.
-
The reconciling item appears in the Reconciling Items
section and shows the date the item occurred and the amount of the
item.
- The General Ledger Balance was entered when preparing
the reconciliation, and the Unidentified Difference is
calculated by RecWizard. If all reconciling items had not
been included, the Unidentified Difference would show the amount
not yet identified and reconciled.
- The persons preparing, approving and reviewing the
reconciliation, and the dates of their actions, are shown next.
- The Comment area would show any additional
information that the person reconciling the account thought was
important to clarify this account balance. The Comment will only
appear for the month the Comment was written. It will not repeat in
any other month.
- As a reminder of what should be done, the Account
Description and Company Policy and/or Procedure is shown every
month.
While you may want to live in a totally "electronic
environment", it is normally a good practice to print your
reconciliation report and keep it in a file with any appropriate
copies of supporting documentation.
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