Hi Mulunga. Did the closing balance match your bank statement when you first did your entries? If so it could be that you have posted an entry "out of date". For example a June entry may have been entered with a May date.
If you have updated your cash book already you can print it out by going to "View" "General Ledger" "Transactions" "Cash Book Details"
If you get an information box asking if you want to vew open batches you can say "No"
Select the Cash Book you want to look at as well as the month. (You can view it on screen or print it to your printer)
Now check off the entries against you Bank Statement.
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