When reconciling bank statements, a Statement Date must now be entered on the range screen. The Statement Date will then be written to the reconciled transactions. Future program releases will include modifications to various report range screens to include this field.
Unlock Success: Hire the Perfect Software Consultant for K-12 & Gov’t
It’s undeniable that technology plays a crucial role in streamlining operations and enhancing efficiency for school districts and local governments. However, navigating the complexities of...
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