Working with 1 General Ledger > 1-5 Bank Reconciliation > About Sage Bank Feeds > Matching Bank Feed transactions with Sage 100 Contractor transactions
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About bank reconciliation

Connecting an account to Sage Bank Feeds

Posting bank transactions to Sage 100 Contractor

Matching Bank Feed transactions with Sage 100 Contractor transactions

After you download transactions that your bank has processed to your account, you need to reconcile them to your Sage general ledger account.

Automatically matching bank transactions with Sage transactions

After you download bank transactions, the Match Banking Transactions window appears. Automatically matched transactions are displayed in the bottom portion of the Match Banking Transactions window.

The program automatically matches bank transactions with transactions in Sage 100 Contractor if they:

If one Sage general ledger transaction matches a downloaded bank transaction, it is moved to the list of matched transactions at the bottom of the window.

If there are multiple potential matches, you receive a message that tells you that the associated Sage transactions remain open (unmatched).

Manually matching transactions to finish the reconciliation

To finish the reconciliation, you match any transactions remaining in the top part of the window manually.

Select each unmatched banking transaction on the left side of the window, and then click the corresponding Sage 100 Contractor transaction (or transactions) on the right side of the window.

Use the buttons on the window to finish the reconciliation as follows:

If you click Bank FeedsMatch Banking Transactions after beginning the reconciliation process, the Match Banking Transactions window appears showing the current state of reconciliation, until you save a Final reconciliation for the period.

Saving the bank reconciliation

When you save a reconciliation, you can choose to save it as a Trial version or a Final version.

Providing you have not done a Final save of the bank reconciliation, you can click Bank Feeds > Match Banking Transactions at any time to return to the Match Banking Transactions window and continue the reconciliation process.