Banking & Transactions
Bank transactions, deposits, journal entries, reconciliation, and departments
12 articles
- Recording a Journal Entry
- How to Connect Your Bank Account or Credit Card for Accounting Journal Entries
- How to Enter a Deposit or Withdrawal in Accounting
- Reconciling Your Accounts with Patriot Software
- Voiding a Journal Entry
- Setting Up Rules for Imported Transactions
- Split Imported Bank Transactions
- Manage Imported Bank Transactions
- Manually Import Bank Transactions into Accounting for Journal Entries
- Void, Delete or Edit Transactions. What’s the difference?
- How to Manage Receipts and Documents
- Adding Attachments to Vendors and Customers
