Use this subtask to view the manual adjustment transaction data that was entered on the Accept Bank Transactions screen for the bank.
Before you can view data on this screen, you must first enter manual adjustments on the Accept Bank Transactions screen that match the selection criteria.
You can click on the subtask toolbar to select parameters for viewing a subset of the records.
The rows in this table window include both cleared and outstanding manual adjustment transactions (Code = CLR and/or OUT).
As an alternative to viewing the data in this subtask, you can print the transactions detail data from the Print Bank Reconciliation Detail Reports screen.
These display the bank abbreviation and description, currency, fiscal year, and period that you entered on the main screen.
This displays the General Ledger period ending date for the accounting period that you entered on the main screen.
This displays the bank statement ending date that was set up on the Manage Bank Statement Information screen for the fiscal year and period that you entered on the main screen.
This field displays the sum of all values from the Trns Crncy G/L Amount column.
This field displays the sum of all values from the Func Crncy G/L Amount column.
The Manual Adjustments table window displays the following data columns that you cannot edit:
Trans Type (MAN)
Code (CLR and/or OUT)
Trans Date, Trans No
Transaction ID
Transaction Name
Transaction Description
Trans Crncy G/L Amount
Func Crncy G/L Amount