Topic: Reconcile Bank Account - print
I'm using FA 2.3.5. I go into the reconcile bank account under Banking and General Ledger.
I can check to reconcile the transaction. But it doesn't do any other thing. Is there a step whereby I can print out the statement that I have checked out (reconciled transaction)?
if there isn't an option to print the report, what are the tables I can look into to produce the report I need for the reconcile bank account statement?
Looking for some answers.. thanks in advance.