Just wondering if I am missing an easier way to expense bank charges. We're using BankRec and when we record a deposit - it's for the full amount. But when it's interact or credit cards the deposit into the bank is less. So we match it in BankRec, with a difference. When you post the bank as reconciled, these differences go into a general ledger batch but to a default clearing account. Is there some way we can categorize these differences as we do them in BankRec, so that they go to different accounts we use, instead of having to edit the batch after it goes to the ledger?
_________________________
Barb