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Bank Reconciliation

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🏦 Bank Reconciliation

Reconciliação Bancária

Overview

Bank reconciliation matches your recorded transactions with your bank statement. Portal makes this process simple with automatic matching suggestions.

Step-by-Step Process

1. Import Bank Statement

  1. Go to AccountingBank
  2. Select your bank account
  3. Click Import
  4. Upload the statement file (CSV, OFX, or CAMT)

2. Match Transactions

  1. Portal automatically suggests matches
  2. Review each suggestion:
    • Green - Good match, click to accept
    • Yellow - Review needed
    • No match - Create new entry
  3. Click Validate to confirm matches

3. Handle Exceptions

For unmatched transactions:

  • Search for the corresponding invoice or bill
  • Create a manual journal entry if needed
  • Mark bank fees or interest appropriately

🇲🇿 Em Português

Processo Passo a Passo

1. Importar Extracto Bancário

  1. Vá a ContabilidadeBanco
  2. Seleccione a conta bancária
  3. Clique em Importar
  4. Carregue o ficheiro de extracto

2. Conciliar Transacções

  1. O Portal sugere automaticamente correspondências
  2. Reveja cada sugestão
  3. Clique em Validar para confirmar
💡 Dica / Tip: Use keyboard shortcuts for faster reconciliation. Press Enter to validate current match and move to next. / Use atalhos de teclado para reconciliação mais rápida. Prima Enter para validar e avançar.
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