Bank Reconciliation question.

F

Frank Martin

I have WinXP pro & Access2003.

I have successfully designed a General Ledger
(based on a query "qryLedger") in Access2003
which is double entry, and which balances.

My bank statements are downloaded via the
internet and are dumped into a a Access2003
table called "tblBank_Dump".

Can someone help me with some form of plan
utilizing the above table and ledger, so as
to do a reconciliation?

Please help, Frank
 

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