Skip to main content

Discrepancies Between Bank Book and General Ledger Statuses

The closing balances in my Bank Book don't match the General Ledger — how do I check this?

Written by Lenka Haringerová

It is necessary to compare the report of movements on account 221 by month alongside the bank book by month, and manually verify the individual transactions.

Unfortunately, Flexi does not currently include any control mechanism for this.

Did this answer your question?