Why does Undeposited Funds not appear under my Accounting Reconcile dropdown?
I want to reconcile my Undeposited Funds account so that I am able to show the items that make up the closing balance in Undeposited Funds in the General Ledger at any particular period end that I might choose.
Those items that are matched should be marked as reconciled, leaving only unmatched entries outstanding. I can then run a reconciliation report which shows me the outstanding items at any period end, the way I can with a bank reconciliation.
The only other way that I can provide supporting information for the balance on the account at period end would be to stop invoicing and banking for the next period until such time as I had reconciled all my bank accounts for the relevant period and then printing off the list of Undeposited Funds in the Bank Deposit screen.
