Balance Sheet Account Reconciliations

by Vote for Pedro
(Queensland)

Balance Sheet Account Reconciliations

Balance Sheet Account Reconciliations

Very simply, how does one do reconciliations of balance sheet accounts?

Comments for Balance Sheet Account Reconciliations

Average Rating starstarstarstarstar

Click here to add your own comments

Dec 10, 2017
Rating
starstarstarstarstar
Reconciling The Balance Sheet
by: Stephanie

Reconciliation's of balance sheet accounts are typically done on a monthly basis.

The reconciliation is accomplished by obtaining a monthly account statement showing the ending balance at the end of the month and matching this balance to what is showing on the balance sheet on the same date.

Any difference in the amounts should then be able to be accounted for through listing all of the outstanding deposits and withdrawals.

Thank you for your question about Balance Sheet Accounts Reconciliation.

Click here to add your own comments

Join in and write your own page! It's easy to do. How? Simply click here to return to Balance Sheet Questions.


Please subscribe to my monthly newsletter, Bookkeeping Basics E-zine. It tells you every month about the new information that I have added, including some great tips and advice from myself and other Bookkeeping Basics readers.

Enter Your E-mail Address
Enter Your First Name (optional)
Then

Don't worry — your e-mail address is totally secure.
I promise to use it only to send you Bookkeeping Basics E-Zine.

Like Bookkeeping-Basics.net?