Xero Reconciliation - Workshop recording
As the saying goes… Sh!t in, Sh!t out!
Reconciling your Xero correctly ensures that the data inside your Xero account is clean and accurate, so your outputs in your Financial Reporting are up-to-date and correct!
In this workshop we covered:
- Bank feeds set up / Manual statement import
- Bank Reconciliation Report & Account transactions
- Basic functionality including Match, Create, Transfer & Discuss Tabs
- Cash coding
Here's the recording