Reconciliation - Bulk 'OK' for reconciling bank transactions
Ability to select multiple/all transactions during reconciliation.
Purpose: To save users time from having to reconcile the transactions one by one.
Thanks for all sharing and supporting how bulk reconciling transactions and suggestions that have been matched to statement lines in your bank would help your business.
It's great to see the trust you've built in Xero's capabilities to match and help you save time from manually finding and creating transactions to reconcile your bank.
Along with building on the foundations of our platforms, the teams efforts at present have been on improving the ability to create suggested transactions for more statement lines in your org - With a lot of this being backend logics there's not a heap you'll see from the front side of things but Xero's reconcile engine is getting stronger and overtime you should find even less need to create transactions in your org, yourself.
With this work underway there is no development for being able to reconcile transactions that have the 'OK' presented option atm, but we keep this top of mind as we continue to make Xero reconciliation even more powerful.
For now, cash coding in Xero can help save time with bulk reconciliations where you'll find Xero's suggested create transactions, and any bank rules you've set up are also presented - Find out more on how this works on Xero Central
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Yumei Lin
commented
Being able to auto reconcile/cash code the bank transaction when you import the bank transaction or the bank transactions processed through Xero
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Karen Cronin
commented
It depends on your business model and banking arrangements
Reconciliation is crucial to mine and bank feeds not always appropriate.
Xero seems to only fit one style of operating. -
Claire Taylor
commented
Thanks for the update
I realise there is a lot of work needed in the background that we dont see but put simply for me a tick box beside transactions like in bills and sales and to be able to select all the transactions with 'OK' is really what I would like to save time in the reconciliation....
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Tak Wun Wong
commented
I just clicked "OK" 5381 times. I think I might have developed carpal tunnel.
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Hui ying Cheow
commented
My client not using bank feed, they just provide me their bank statement, so I need to key in manually. When bank reconciliation, it really take time !! We need to click all the transaction itself and mark as reconciliation. Quick book and others account software can just tick all the transaction you need and approve after you check and tally with your bank statement. Xero really need to improve, very not convenience for manually key in user. Quick book and others software cannot scan bill and upload like XERO, if not I already change to others software.
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Bradley Whitford
commented
Bank Rules - Auto Reconciliation.
If there is an option for "auto-reconciliation", in Bank rule creation it will save time.
For example. We have created a bank received rule that says that if the "CITIZENS" condition is met, the item shall be recorded as "4200 - Merchandise". Instead of it shows as "Apply rule".
It should be automatically posted and reconciled. -
Mike Malone
commented
Most ecommerce clients have a direct feed from PayPal producing hundreds of OK's in bank rec. from invoices generated by their respected sales platforms.
If date and amounts match we need to be able to auto allocate, leaving only those identified as (other possible) unreconciled.
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Naomi Harris
commented
great invaluabe idea
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Jennifer Martin
commented
Yes need this for quickly matching credit card feeds, which match via an add-on application.
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Samuel Boyd
commented
Yes, I need to bulk reconcile bank transfers - particularly from bank accounts to my paypal account. Would be an easy fix, and save hours of hassle.
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Julian Versloot
commented
In today's era of electronic banking and connected bankfeeds, it seems pointless to have to do a bank reconciliation. The transaction gets fed into the Xero ledger therefore the bank balance should always match what the bank statement says. I know that I have to allocate each transaction using rules or manually, so really they're just "Unmatched Transactions". To have to "Mark as Reconciled" or perform a Bank Reconciliation process seems redundant to me. The notion of Uncredited Deposits or Unpresented Cheques is surely outdated, as this was only to work out what my actual bank balance was at any given point in time (ie when datafeeds were impossible). Could the reconciliation process be done away with?
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Kevin Day
commented
Or a keyboard shortcut! That would be way faster than
click....
click....
click....
click....
click....
click....
click....
click....
click....
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Matthew Cowell
commented
A system like the Cash Coding system where multiple transactions can be selected and reconciled in bulk.
It would need to be more flexible than cash coding though i.e. searchable and sorted by more detailed data.
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Yau Pei Wen
commented
Agreed! Especially for those F&B company or those company that have many outlets.
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Alice B
commented
Yes Russell you are right, good to get that clarified. I couldn't work out how a business with bills and invoices can use Cash Coding
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Russell Trumm
commented
I also see someone posted about manually marking transactions as reconciled. This also is not an answer for this topic. Manually marking transactions as reconciled is ONLY for transactions that can not be imported via an electronic bank statement. Most of us use the importation of electronic bank statements. You will mess up your bank reconciliation if you manually mark transactions as reconciled when those duplicate transactions come through via electronic bank statement. I hope this helps!
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Russell Trumm
commented
I'm posting this because a couple of people have responded with "cash coding" as the answer. Cash coding does not resolve what is being asked for here. Cash coding only works to create new spend and receive transactions. Cash Coding does not work for payments against invoices and bills already generated. What we're asking for is to make better use of screen space (or even a scrolling screen) with the ability to "ok" multiple matched payments at one time without a screen refresh between each matched payment. I hope that clarifies it.
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Christian Morales
commented
Cash Coding already does this.
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Nikki Velinsky
commented
You can reconcile multiple lines in the Bank transactions tab but you need to enable the function. This article tells you how to do this - https://central.xero.com/s/article/Reconcile-an-account-transaction-without-an-imported-bank-statement#Enableordisablemarkasreconciled
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Susan Lucas
commented
Unfortunately, cash coding is not available if clients are on the Starter plan. :-/