Find out more about reconciliation here.
Get there
- Go to Banking in your navigation bar
- Access Banks from the bottom of the screen
In order to perform reconciliation, you will first need to add your bank in Holded. Learn how here.
Reconciling transfers between accounts
- Choose the outgoing bank account
- Click Go to reconciliation
- Locate the transaction on the Bank statement
- Go to the section that will appear on the right-hand side
- Click the Transfer button
- In the pop-up window, check that you are in the Transfer tab
- From the drop-down list under Accounting account* select the account corresponding to the bank of entry
- Click on Transfer and reconcile
- Go back to the main page of Banks
- Choose the account of the bank of entry
- Click on Go to reconciliation
- Select the transaction from the Bank statement
- Go to the section on the right
- Use the dropdown to filter by Collections
- Locate the collection you have previously generated
- Select it and click on Reconcile
Remember that you can use the Reconciled option within the drop-down menu in the Bank statement lines, and click on a specific transaction to check against which documents it has been reconciled. These will appear on the right, from where you can access the document to see more details about it.