Cheque Reconciliation
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The Cheque Reconciliation service allows you to reconcile your
issued cheques by matching them to your paid cheques. To perform a reconciliation you: |
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1.
Upload your issued cheques into ScotiaConnect. |
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2.
Conduct any
necessary cheque maintenance (i.e. adding, deleting or modifying issued
cheques) |
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3.
View reports
of matched and outstanding cheques. |
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4.
Force match
cheques that meet selected criteria. |
Outstanding Cheques
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The Outstanding Cheques screen enables you to view: · Outstanding
cheques that have been issued, but not paid · Cheques
that have been paid but not issued |
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To view your outstanding cheques: |
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1.
If necessary, upload your most recent issued cheques file into
ScotiaConnect. · Click on
the Issued Cheque Upload link to access the File Upload screen. |
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2.
If you need to add, delete or modify any issued cheques, you can do so
on the Issued Cheque Maintenance screen. · Click on
the Cheque Maintenance link to access the Issued Cheque Maintenance screen. · Perform the required maintenance. · Click on the Outstanding Cheques link
to return to the Outstanding Cheques screen. |
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3.
On the Outstanding Cheques screen, select the account for which you
would like to see the outstanding cheques from the Account dropdown menu. |
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4.
Select the cheque type that you would like to see (issued, paid, or
issued and paid). |
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5.
From the Date dropdown menu, select the time frame that you are
interested in. If you select Date
Range, click on to select
the range of dates. |
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6.
To view the report: · Click on
the View button. · To view
details of a specific Outstanding Issued Cheque, click on the Serial # to
access the Issued Cheque Details window. |
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7.
To print the report: · Click on
the Report button to receive a formatted report; or · Print
directly from the browser and receive what is displayed on-screen. |
Force Matching
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You may force match outstanding issued
and paid cheques that meet your selected criteria. |
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To Force Match: |
1.
On the lower half of the Outstanding Cheque screen, place a check mark
in the Match field beside the cheque in question. |
2. Click on
the Force Match button to manually reconcile the selected cheque. |
Related Topics |
Force Matching
Outstanding Cheques