Improved Bank Reconciliation – 2009

Another improvement to our accounting software based on feedback from our customers:

When you reconcile a bank account – that is, match up all transactions in KashFlow to the transactions on your bank statement – you’ll see a message pop up prompting you to lock transactions for the bank account up until the reconciled date.

This removes the possibility of you accidentally editing or deleting an items that effects that bank account and messing up your reconciliation.

You can also control this setting manually by clicking the “Edit Details” button next to the bank account under the “Bank” tab

See how IRIS KashFlow works with your business and your books