Help Documentation
×

Pending Uncleared Items

The Uncleared Items Journal Entry will remain in the bank account until all pending items have been cleared.
 
Once all checks and deposits that were not initially posted in Orion have been reconciled, there will be several journal entries (JE) for Cleared Checks and Cleared Deposits.
 
When the sum of the JE’s equal zero they should be reconciled along with a monthly bank reconciliation. 
 
The online help was made with Dr.Explain