Good afternoon,
We issued checks in July and, because they weren’t cashed, they showed on the Bank rec as unmatched (printed on Jul 31).
Today we needed to void 70141 and 70186, but when we went back to July reconciliation they don’t show on the list anymore. Is that expected behavior? I thought they would still be visible in July rec because at that time they were in Cashed status.
We are doing bank reconciliation following below steps, are we missing something?
Thanks,
Cora