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      Print Bank Account Reconciliation Reports

      The Bank Account Reconciliation report displays open bank ledger entries as unpresented checks or unrecorded deposits.

      To print a bank account reconciliation report

      1. Choose the Lightbulb that opens the Tell Me feature icon, enter Reconciliation, and then choose the related link.
      2. On the Options FastTab, select the New Page per Bank Account check box.
      3. On the Bank Account FastTab, select appropriate filters.
      4. Choose the Print button to print the report or choose the Preview button to view it on the screen.

      See Also

      Reconcile Bank Accounts

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