Reconciliation Transaction Type

Overview

Transactions received through the bank statements gets identified by a Reconciliation Transaction Type. These types will identify the Journal voucher type to reconcile with automatically, and is also used to determine the JV template which will be used for any accounting entries that need to be created when the reconciliation process is executed.

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Reconciliation Transaction Type screen include the following fields:

FieldsDescription
CodeCode of transaction type contained in the Bank Statements which is manually entered by the user.
LanguageLanguage used to describe Reconciliation Transaction Type.
AbbreviationAbbreviation of transaction type contained in the Bank Statement.
DescriptionBrief description of the Reconciliation Transaction Type.
Transaction TypeBrief description of the reconciliation transaction type. Options are: Balance, Debit and Credit.
Journal Voucher TypeJournal Voucher Type is to be selected. Possible values: Adjustment, cheque, deposit, etc.