Weekly Webinar: Bank Reconciliations
2 P.M. EST, September 19
Rent Manager stores crucial financial information, including all bank transactions. Performing bank reconciliations allows you to compare deposits and payments in Rent Manager with your bank statement, identify outstanding items, discrepancies and errors, and ensure your financial statements will be accurate. In this week’s webinar, we will cover how to perform a bank reconciliation, view relevant reports, and make manual corrections.
Meeting ID: 489-102-251