Use this subtask to view the adjustments detail in which the General Ledger and bank statement amounts differ for the bank abbreviation, fiscal year, and period that you entered on the Bank Reconciliation Inquiry screen.
The detail rows in this table window include both General Ledger and bank amounts.
Before you can view data on this screen, you must first run the Create Bank Transactions History process. You must also have compared General Ledger transactions to bank transactions by clearing checks on the Accept Bank Transactions screen or the Process Bank Transactions Acceptances screen.
Click on the subtask toolbar to select parameters for viewing a subset of the records.
These fields display the bank abbreviation and description, currency, fiscal year, and period that you entered on the main screen.
This field displays the General Ledger period ending date for the period that you entered on the main screen.
This displays the bank statement ending date 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 Trans Crncy G/L Amount column.
This field displays the sum of all values from the Func Crncy G/L Amount column.
This field displays the sum of all values from the Trans Crncy Bank Amount column.
This field displays the sum of all values from the Trans Crncy Variance Amount column.
The Unmatched Manual Adjustments table window displays the following non-editable data columns:
Trans Type
Trans Date
Trans No
Trans Crncy G/L Amount
Func Crncy G/L Amount
Trans Crncy Bank Amount
Trans Crncy Variance Amt
Bank Accpt Date
Bank Accpt FY
Bank Accpt Pd
Bank Accpt Subpd
Trans ID
Trans Name
Transaction Description
Cash Account
Cash Organization
Ref 1 (if Ref 1 is used)
Ref 2 (if Ref 2 is used)