FIS Fund Accounting Bank Reconciliation Webinar - Event Information
Event Date and Time
We will be going over the following:
- Setting up and flagging Journal Vouchers
- Using the Fees, Interest and Adjustment buttons within bank reconciliation
- Tying to cash account once the bank reconcilaiton is finalized
- How to handle NSF checks
Registration is open for this event until Wednesday, May 10, 2023 at 9:00 am.