Reconciliation register details (CA624000) report

This topic provides information about the elements in this window in Visma Net, such as fields, field values, buttons, and check boxes.

This report shows details of reconciliations performed for the selected cash account (or for all accounts) during the specified date range.
For each cash account, reconciliations performed during the specified date range are listed detailed to cash transaction amounts.

Report parameters

You use the following parameters to select the information to be displayed on the report:

Element Description
From date

The start date of the date range.

By default, the first date of the current period is selected.

To date

The end date of the date range.

By default, the current business date is selected.

Cash account The cash account for which reconciliations will be listed.
Select a cash account, or leave the field blank to view a broader range of data.
Reference number The reference number assigned to the reconciliation.
You can leave this field blank to view a broader range of data.