Aakash-Business-Tool/C2/Bank-Reconciliation/English
Title of script: Bank Reconciliation Statement
Author: Trupti Rajesh Kini
Keywords: Organisation, Video Tutorial
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/* Slide 1 */
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Hello and welcome to this spoken tutorial on Bank Reconciliation Statement in ABT |
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Objectives |
In this tutorial, you will be able to learn,
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Slide 3
System Requirements
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In this tutorial, I am using
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Slide 4 | For more information please visit,
https://github.com/androportal/ABT http://aakashlabs.org/docs/abt/index.html
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/*Slide 4*/
Prerequisites |
For this tutorial, you must be familiar with:
If not, for relevant tutorials please visit http://spoken-tutorial.org |
Start ABT | Select ABT application on Android 4.2. |
Point to ABT's Welcome screen | We will see ABT's welcome screen. |
Point to Select Existing Organization button | Select organization Free Accounting Foundation. |
Tap on Login button | Login as admin |
Point to Master Menu | We are now on the master menu of ABT. |
Point to Bank Reconciliation | Tap on Bank Reconciliation option. |
Point to the new window | There are 5 options in this pop up:
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Point to Select account name | Here I have already created an account called HDFC with 2 transactions:
1. One with SBI 2. Another with ICICI bank Let us account name as HDFC. |
Point to from date and to date | The from date and to date are financial period.
They are editable and can be changed as per requirement. |
Point to 2 checkboxes Display cleared transactions and Display narrations | Check Display cleared transactions and Display narrations checkboxes.
Display cleared transactions will show cleared transactions. It will show along with uncleared transactions. Display narrations will show narrations with transactions. |
Tap on View button | Tap on View button. |
Point to the new screen | Note:
Only bank to bank transactions will be visible in bank reconciliation table. New screen appears.
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Point to the top left icon | On the top left of the screen, you will notice another icon.
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Point to the top right of the screen | On the top right side there is a save button and options button.
The options button are: * Export as pdf * Export as CSV These options function similar to those in Reports tutorial. |
Point to columns | Here there are columns like:
* Date * Particulars * Cheque no. * Reference no. * Debit * Credit * Clearance Date * Memo * Narration |
Point to drill down | Here also there is drill down facility to divert to the respective voucher. |
Point to Clearance Date | Tap on Clearance Date to select the date.
Let us select the Clearance Date. |
Point to Memo | We can give Memo as a statement while clearing transaction.
Let us give Memo as cleared. |
Point to Bank Reconciliation Statement | Total Debit & Total Credit amounts are present at the end of the table.
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Point to narration | As we checked Display narrations checkbox, we can view narration column |
After entering clearance date with optional field memo, save the details.
It says “Changes saved successfully” | |
Point to reconciliation statement | We can view the changes in the reconciliation statement table.
The amount in row Cheques deposited but not cleared changes.
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What is Bank Reconciliation?
It is a report which compares the bank balance as per company's accounting records with the balance stated in the bank statement. | |
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Summary |
So, in this tutorial, we learnt about,
* Bank Reconciliation & * How to Clear transactions.
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/* Slide 6*/
Assignment |
As an assignment, clear one or more transactions and view Bank Reconciliation Statement. |
/* Slide 7 */ | Watch the video available at
http:spoken-tutorial.org/
project
bandwidth, you can download and watch it |
/* Slide 8 */
Spoken tutorial Workshops |
The Spoken Tutorial Project Team
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/* Slide 9 */
Acknowledgements |
Spoken Tutorial Project is a part of the Talk to a Teacher project
It is supported by the National Mission on Education through ICT, MHRD, Government of India
http://spoken-tutorial.org /NMEICT-Intro |