AugTool Documentation

Reconciliation-Daily Check Report

Under the reporting menus item there is a menu called Reconcile. This is a report that can be run at anytime of the day to see if there are any differences between the general ledger accounts for Aging, Stock, Misc, Bank accounts and cash ups and the source documents and or statements (for debtors and creditors). 

reconcile/8ec38919ef195d5162bdd7dd9f7493f0.jpg