For each account included in a reconciliation, the net sum of all amounts on the account is calculated in the general journal. Before a general ledger account can be reconciled, you must select the Reconciliation Account field on the account card.
To reconcile liquid accounts
- In the Search box, enter General Journal, and then choose the related link. 
- Fill in at least one journal line with an account number, an amount, and an account number in the Balancing Acc. No. field. 
- On the Actions tab, in the Posting group, choose Reconcile. 
- To post the journal, open the General Journal window, and on the Actions tab, in the Posting group, choose Post. 
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| If you print a test report before posting, a reconciliation appears at the end of the report. | 
|  Tip | 
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| For more information about how to work with fields and columns, see Work with Data. For more information about how to find specific pages, see Search. | 





