Event Details

30

Sep

Bank Reconciliation in PS Financials

Bank Reconciliation in PS Financials 

Date: Wednesday 30 September 

Time: 14:00 pm

This bite-sized 60 minute webinar will cover:

  • Downloading and importing bank statements.

  • Opening balances.

  • Reconciling items.

  • Posting missing cashbook transactions.

  • Reconciliation report.

  • Bank reconciliation report.

  • Removing duplicate entries statements.

This Webinar is hosted by PS Financials


Book



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Location:

Webinar

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£36

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