From: Bob G. <bo...@rc...> - 2007-10-01 14:49:55
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To reconcile bank balances with the number given by the bank, the function: Cash -> Reconciliation Is very useful. It could be made more useful if one could store the date and balance numbers given by the banks, so this reconciliation could be easier to do, and perhaps more automatic. I wonder if anyone has a good procedure for doing this? Bob G |