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Phoenix - User Help

The Reconciliation Summary lists for each reconciled account selected, and for the selected period, all period reconciliation totals. That is the Opening, Closing and Projected balances, Deposits, Withdrawals and uncleared Deposits and Withdrawals.

This report defaults to monthly order, but in the Options window from the selection bar, you can select for it to be ordered by account.

Fin_Recon_Rpt_v10

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