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Statement balance

Posted: Fri Feb 11, 2022 12:51 pm
by officekerk
Hi,

I use the reconcile function and the balance is perfectly fine but I notice the statement balance doesn't seem to correlate to anything. When I click on it, it says imported 1st of every month whereas my HSBC statement is produced 29th to 28th of every month. Any way to make these align, or is there any point? I suppose what I am trying to do is double check the start and finish balance of LV against the hsbc statement as an extra check everything is going ok.

I did try and search the forum but it kept telling me there were too many results.

Thanks
Richard

Re: Statement balance

Posted: Thu Feb 17, 2022 8:45 am
by roy
Hello Richard

Thank you for your post

The Statement Balance is the sum total of all of the transactions on the Bank Statements tab and once everything is reconciled it should match the Account Balance.

The import date is the date you imported the statement. So if your statement is ready on the 28th, but you don't import it until the 1st, then the dates will reflect that. The End Date will show you where you have transactions imported up to

Kind regards
Roy