Good afternoon,
I just started using the bank reconciliation module so this could be a fairly basic question. We have multiple locations and two bank accounts per location, one for cash/check deposits and the other for CC transactions. In entering the cash activity for the day, I used the bank associated with the cash/check and put in the detail a negative amount to the other bank for the credit card activity. Once the entry was posted it didn't show up on the other account. Is it best to only have one of the two accounts set up in bank rec? I know I can probably use a transfer for the CC $ but it starts to get cumbersome. Thoughts?
Thanks,
Lisa