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What is the information that is required to create bank reconciliation?

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Question ajoutée par Fahid Malik , Accountant , Sialkot Dry Port Trust
Date de publication: 2017/03/28

The Bank ledger account contains of all bank transaction recorded and bank statment

Bobby Chaugule
par Bobby Chaugule , Finance Lead , Horizontal Integration Middle East FZE LLC

First step you should have opening balance as per Accounting book and opening balance as per Bank statement (Available balance in account), secondly you need all the released cheques dates,amount and received cheques or cash deposited dates and amounts.

Mohammed  Riyaz
par Mohammed Riyaz , Accountant , ZEN TANKS AND VESSELS PVT LTD

bank passbook and bank statments

Ubaid Ullah Sajid
par Ubaid Ullah Sajid , Accounts Executive , ASNB Real Estate Management L.L.C.

Accounting Entries of Both the parties is required to reconcile their balances.

Marlynne Taguba
par Marlynne Taguba , Senior Accountant / Assistant Accounts In Charge , Mohammed Hussain Al Muftah Est

Bank Statement

Bank Credit and Debit Memos

Bank Ledger per  Books .

RUTH G MORIS
par RUTH G MORIS , WORKSHOP ACCOUNTANT , HUGHES MOTORS/AL-FUTTAIM GROUP

Outstand checks or withdraws.

Iterest earned

Up date checking accounting ledger check book.

Bank reconciliation for the previous month

The basic information is the bank statement that contains opening & closing balance including all daily transactions.

Atique Ahmed Main
par Atique Ahmed Main , Accounts Officers , Ahsan Ikram textile Pvt. Ltd.

bank statment as well as bank ledger of company

Shafnas Kollankandy
par Shafnas Kollankandy , General Accountant , Works and Building Co. (Al - Qatami)

Bank Statement and bank ledger account statement

John Alfred Adrados CPA
par John Alfred Adrados CPA , Senior Accountant , Excel Trading W.L.L (Excel International Group) – Doha, Qatar

The required information for most reconciliations are two (2) sets of records.

In this case, bank recon, you need (1) Bank Statement and (2) Bank Ledgers along with supporting schedules of deposits, cheque receipts and disbursement.

Tom Oluoch
par Tom Oluoch , Accountant , Cross country Hauliers Ltd

You need a bank statement for the end of the month,then you enter the bank charges, since you will have posted all the the entries,then you start the reconciliation

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