Emmanuel Nnaa created FINERACT-109:
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             Summary: Bank Reconciliation Module
                 Key: FINERACT-109
                 URL: https://issues.apache.org/jira/browse/FINERACT-109
             Project: Apache Fineract
          Issue Type: New Feature
            Reporter: Emmanuel Nnaa
            Assignee: Markus Geiss
            Priority: Minor


A number of MFIs have requested the addition of a bank reconciliation module, 
making it easier for them to reconcile any journal entries made against their 
Bank Account GL(s) in Fineract, with the actual transactions in their bank 
account. First thoughts on how this would work below:

* User will need the ability to select a specific GL Account to reconcile. 
Perhaps a checkbox should be added when creating / editing a GL to specify if 
it should be made available in the reconciliation module
* Reconciliation module should show all GL accounts that were previously made 
available, along with the reconciled balance and unreconciled balance
* User should then be able to select the GL account, and pull out either all 
journal entries between a start and end date, or all unreconciled entries, or 
all reconciled entries
* User should have the ability to tick a checkbox for any entry that they wish 
to reconcile and then to save at the end once they have ticked multiple 
checkboxes they can save
* The act of reconciliation should be tracked and shown in the audit module

The more complex, but key, addition, will be the option to group (or if 
possible to sum) all transactions with the same reference together. This will 
be useful when reconciling group postings which appear as multiple GLs in 
Fineract, but only one transaction in the bank account. 



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