A Bank reconciliation used to compare the accounting record of the business with the record of bank statement. It may be compare at the end of every month. In which compare the cheque issued during the month and receive during the month. Result of the comparing of accounting record and bank statement is UN credited UN presented cheque. In which every transaction of the business compare with bank statement, and verify that which transaction create difference and adjustment should be made in the cash book after certain period.
Useful Critical Points
1- Always download bank reconciliation template after making it sure that you really need it. A template which is not as per your requirements, can only damage your work. Instead, choosing a relevant template can bring life to your work.
2- All word templates provided in this website are fully designed and equipped with quality contents; however, you should consider addition as opportunity rather extra work. It will help you in preparing a master piece.
3- Categories are given on the right side of this website, which can help you in choosing the right template for you. In case, if you feel trouble in searching your require template, you may use search tab to locate your design template.
4- Necessary amendments are part of high quality work. We shall insist on improving quality of your work by making undeniable changes in this/all templates that you will download from this website.
5- Adding tags and description after preparing your template can add attraction from user’s point of view. It will make your template more effective and attractive for your boss as well.