Bank Reconciliation Excel
A solution that i use is this checkbook assistant it is an app(add-in) for Microsoft excel that can help you manage checkbooks and back statements within spreadsheet. Entries like cheque deposited but not collected by bank or adjustments related to bank reconciliation can be done easily with this tool. You can run an anti virus check on this app before using it. You can find this tool working under ribbons >> Specialty tab Download the add in here …