|Event Date||Wed Oct 17 EDT (about 3 years ago)|
The Tools section of the GMS Accounting and Financial Management System contains various functions to help you do “detective work” within the system and gather specific information. One of the more popular functions within the Tools section is the Bank Reconciliation. Information is automatically brought over from the General Ledger and check printing processes and in most cases your bank statement can be imported into the software. It will generate reports such as the outstanding check listing, outstanding deposit listing and exception reports for items found on the imported Bank Statement but not found in the General Ledger. This webinar will explore many of the features found within the Tools section of the software.
Training Specialist, GMS, Inc.