Capital City Bank Getting Started Guide for Treasury Management
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Full Pos Pay Site Check Reconciliation Summary
Use Check Reconciliation Summary to determine your available cash position as of a specific date. The report displays an activity summary with newly issued checks, paid checks, stopped checks and voided checks.
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In the Transaction Reports tab, click Check Reconciliation Summary . 1. Using the “Account ID” drop-down, select an account ID. 2. Enter a Reconcile Through Date. 3. Click the Select button. 4. Click the Finish Reconciliation button to reconcile the account.
Full Pos Pay Site: Check Reconciliation Summary
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