To create a journal while reconciling a bank statement, please follow the steps mentioned below:
Step 1: Go to Payments >> Go to Bank Reconciliation option >> Click on Import Statement
Step 2: Click on Upload Statement >> Upload the statement.
Step 3: Select the payment >> Click on Journal.
Step 4: Either select an existing Journal Entry and link it, or Create a new Journal Entry.
Step 5: Click on Record.
Step 6: A confirmation pop-up will appear showing “Data Linked Successfully”.





