ASCENDER Bank Reconciliation, Finding the Unreconciled Difference Virtual - 28845

This session will demonstrate the steps that are used by an ASCENDER Business Consultant to assist a district with an unreconciled difference while processing a bank reconciliation in the ASCENDER software. These steps will include pulling all transactions that occurred in the accounting period from the general ledger and utilizing the excel bank reconciliation template.
Schedule & Location
4/28/2022 9:00 am - 12:00 pm
Add to Outlook Calendar Add to Google Calendar
Session 53552
Fee None
Seats Left 77

Registration Deadline 4/28/2022
Credit Type Professional Development
Duration 03:00

Tammie Herring ESC Region 11

Christi Quattrochi

For assistance contact:

Christi Quattrochi
MIS Business Services Supervisor
(817) 740-7519

Tammie Herring

For assistance contact:

Tammie Herring
MIS Support Specialist (Business Services)