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	<id>https://wiki.encan.artfloral.ca/index.php?action=history&amp;feed=atom&amp;title=Sage_300_reconcilliation</id>
	<title>Sage 300 reconcilliation - Historique des versions</title>
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	<updated>2026-08-05T04:16:14Z</updated>
	<subtitle>Historique des versions pour cette page sur le wiki</subtitle>
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	<entry>
		<id>https://wiki.encan.artfloral.ca/index.php?title=Sage_300_reconcilliation&amp;diff=72&amp;oldid=prev</id>
		<title>Admin : Page créée avec « Create excel File Reconcilliation1  # Common Services &gt; Bank Services &gt; Bank Transactions # Reconcile Statements # File &gt; Export # Type: Excel 2007 &gt; Browse (Name file0 # Ok  Copy excel file to your computer. Reconcilliation2  # Open the file # Make sure to select the first tab on the bottom (by default both are selected) # Select CTRL+A to select all the cells # Go to Data &gt; Sort... »</title>
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		<updated>2026-07-21T14:58:20Z</updated>

		<summary type="html">&lt;p&gt;Page créée avec « Create excel File &lt;a href=&quot;/index.php?title=Fichier:Reconcilliation1.png&quot; title=&quot;Fichier:Reconcilliation1.png&quot;&gt;vignette|Reconcilliation1&lt;/a&gt;  # Common Services &amp;gt; Bank Services &amp;gt; Bank Transactions # Reconcile Statements # File &amp;gt; Export # Type: Excel 2007 &amp;gt; Browse (Name file0 # Ok  Copy excel file to your computer. &lt;a href=&quot;/index.php?title=Fichier:Reconcilliation2.png&quot; title=&quot;Fichier:Reconcilliation2.png&quot;&gt;vignette|Reconcilliation2&lt;/a&gt;  # Open the file # Make sure to select the first tab on the bottom (by default both are selected) # Select CTRL+A to select all the cells # Go to Data &amp;gt; Sort... »&lt;/p&gt;
&lt;p&gt;&lt;b&gt;Nouvelle page&lt;/b&gt;&lt;/p&gt;&lt;div&gt;Create excel File&lt;br /&gt;
[[Fichier:Reconcilliation1.png|vignette|Reconcilliation1]]&lt;br /&gt;
&lt;br /&gt;
# Common Services &amp;gt; Bank Services &amp;gt; Bank Transactions&lt;br /&gt;
# Reconcile Statements&lt;br /&gt;
# File &amp;gt; Export&lt;br /&gt;
# Type: Excel 2007 &amp;gt; Browse (Name file0&lt;br /&gt;
# Ok&lt;br /&gt;
&lt;br /&gt;
Copy excel file to your computer.&lt;br /&gt;
[[Fichier:Reconcilliation2.png|vignette|Reconcilliation2]]&lt;br /&gt;
&lt;br /&gt;
# Open the file&lt;br /&gt;
# Make sure to select the first tab on the bottom (by default both are selected)&lt;br /&gt;
# Select CTRL+A to select all the cells&lt;br /&gt;
# Go to Data &amp;gt; Sort &lt;br /&gt;
# Select sort by TRANSDATE (make sure my data has headers is clicked)&lt;br /&gt;
# Press ok&lt;br /&gt;
&lt;br /&gt;
Format Data&lt;br /&gt;
&lt;br /&gt;
# Go down to the appropriate line to delete older data(for the date you&amp;#039;re looking at) ex. last line of 2026-05-27 (for June reconciliation).&lt;br /&gt;
# Select the line by clicking on its number on the left.&lt;br /&gt;
# Use CTRL+SHIFT+UP to select all the lines above (move down one line with SHIFT+DOWN to keep the headers)&lt;br /&gt;
# Right click on one on the line numbers and select delete to delete all the irrelevant lines.&lt;br /&gt;
# Repeat the same with later lines (i.e. 2026-07-01 and newer for june) by using CTRL+SHIFT+DOWN to select newer lines and delete.&lt;br /&gt;
# Select column (Totclear) and use CTRL+SHIFT+RIGHT to select all the lines to the right, you can delete them as they wont be relevant. If you&amp;#039;re doing current month, totclear can show previous month reconciliation and you can leave it.&lt;br /&gt;
&lt;br /&gt;
Format Data (2), now we will improve readability.&lt;br /&gt;
[[Fichier:Formatting1.png|vignette]]&lt;br /&gt;
[[Fichier:Formatting2.png|vignette]]&lt;br /&gt;
&lt;br /&gt;
# Make column I and J big enough to see the information.&lt;br /&gt;
# Select column D (srceapp), go to the home tab and select conditional formatting&lt;br /&gt;
# Highlight cell rules &amp;gt; Text that contains&lt;br /&gt;
# Use AP (value) with Light Red Fill and BK (value) with Green Fill&lt;br /&gt;
# Select column E (transtype), select conditional formatting&lt;br /&gt;
# Highlight cell rules &amp;gt; Equal to&lt;br /&gt;
# Use 1 (value for negative amount) with light red fill, this will differentiate if the amount is a negative (1, credit) or positive (2, debit)&lt;br /&gt;
# Repeat for column G (entrytype), value 5, light red fill (value 5 means the reversal of a transaction)&lt;br /&gt;
&lt;br /&gt;
Rename Sheet and move to the main Book (File)&lt;br /&gt;
[[Fichier:Formatting3.png|vignette]]&lt;br /&gt;
[[Fichier:Formatting5.png|vignette]]&lt;br /&gt;
&lt;br /&gt;
# Make sure to open the appropriate main file (in this case 2025-2026)&lt;br /&gt;
# Rename the sheet to the corresponding month (i.e. June)&lt;br /&gt;
# Right click the sheet and select move or copy.&lt;br /&gt;
# In the popup, select the appropriate book and click OK (make sure create a copy is deselected).&lt;br /&gt;
# In the appropriate book, use move or copy again on any colors tab and create a copy (make sure create a copy is selected) to create a corresponding colors_june tab.&lt;br /&gt;
&lt;br /&gt;
Use the file&lt;br /&gt;
&lt;br /&gt;
# In the colors tab, you can see the corresponding color codes to reconcile the payments.&lt;br /&gt;
# In the main tab, color the corresponding payments with corresponding colors and use Thick outside borders on cells that reconcile with the received amounts.&lt;br /&gt;
&lt;br /&gt;
[[Fichier:Reconcile2.png|vignette]]&lt;/div&gt;</summary>
		<author><name>Admin</name></author>
	</entry>
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