Learn how to perform a bank reconciliation in Jim2
Jim2 Bank Reconciliation is an important business function and should be done weekly if not daily. The goal is that after every reconciliation the Out of Balance field =0.00
Jim2 Bank Reconciliation is an ideal solution for:
- businesses who want improved cash flow management in one solution
- businesses requiring multiple bank accounts
- businesses that trade with multiple currencies
- businesses that want complete oversight of their accounting transactions
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For more information on Bank reconciliation in Jim2 Version 4.5, contact our team or visit Jim2 Help.