Matched to Variance
You can match one or more Cashbook entries to one or more imported bank
statement entries by selecting the Multiple Mode.
- In the Cashbook Transactions grid, deselect the Only Reconciled check box
and select the Go arrow.
- Match the amount in the bank statement to the 'Used' reconciled in error
transaction in the Cashbook Transactions.
- The transaction in the bank statement grid will now have an Import Status
of Matched To Variance.
- Post RecXpress and the transaction in Reconcile Transactions will be
matched correctly.
- When matching to a previously Matched in Error transaction the variance
amount must be an exact match.