ProConnect HelpIntuit HelpIntuit

Recalculating prior period bank reconciliations in EasyACCT

SOLVEDby IntuitUpdated November 22, 2023

The Bank Accounts/Reconciliation Module doesn't store prior period reconciliations—you must restore them from a backup using the steps in How to back up and restore company data.

To do a prior month's reconciliation again, follow the appropriate steps in Common questions about the Bank Reconciliation module in EasyACCT.

  • The steps set up the bank as if it were the first reconciliation.
  • Process each month to get back to the current month's reconciliation.

Was this helpful?

You must sign in to vote, reply, or post
EasyACCT EasyACCT

Sign in for the best experience

Ask questions, get answers, and join our large community of Intuit Accountants users.

More like this

Dynamic AdsDynamic Ads