How to do a Bank Reconciliation in Xero: Banking Feeds, Match, Create, Transfer, etc.

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  • Опубликовано: 20 янв 2025

Комментарии • 66

  • @SteveKing996
    @SteveKing996 10 месяцев назад +4

    Thank you for the free Xero courses. They've been a big help in learning for my Xero Advisor Certificate. The clear and detailed lessons have really improved my skills. I have watched all of them!

    • @BookkeepingMaster
      @BookkeepingMaster  10 месяцев назад +1

      Glad you like them! Thanks for watching and taking the time to comment

  • @annabelgodwin4862
    @annabelgodwin4862 Год назад +1

    Thank you for such a knowledgeable and detailed explanation. It is very kind of you to post and most definitely appreciated!

  • @mariannecanterbury9688
    @mariannecanterbury9688 6 месяцев назад +1

    Thank you. I find your tutorials very easy to follow and look forward to watching more.

  • @Mariduck18
    @Mariduck18 8 месяцев назад +2

    Hi Mr. BookkeepingMaster! I really appreciate this free course. Thank you so much!! :)

    • @BookkeepingMaster
      @BookkeepingMaster  8 месяцев назад

      You're very welcome! Thanks for watching

    • @travelmood4543
      @travelmood4543 8 месяцев назад

      ​@@BookkeepingMasterI really really need a training for reconciliation. I would be mor happy to know if you provide paid training as I have been been given a new role of reconciliation and need to cover many scenarios.

  • @bam2ri
    @bam2ri 7 месяцев назад +1

    thank you so much for these xero tutorials. very clear and detailed.

  • @isharjotkaur9593
    @isharjotkaur9593 11 месяцев назад +1

    Thank you for sharing such a detailed video. Much needed.

  • @ninjanifunnypetsmaevlog2172
    @ninjanifunnypetsmaevlog2172 5 месяцев назад +1

    I'm here again. Thank you for this information it refreshed my knowledge in bank recon.

  • @TheSquidworm
    @TheSquidworm 11 месяцев назад

    Thanks for this. I haven't watched all of the video yet, but I know I've found the right one within the first 60 seconds when you compare with the Quickbooks method and say Xero is complex! I've been really struggling to make sense of Xero which seems to have highjacked the word reconciliation and used it in a completely different way. I've even seen quite a few Xero consultants recommend that users "turn off" the annoying Bank balance that shows up disagreeing with the Xero "bank" balance when it doesn't agree. There must be 1000's of Xero users out there who have balance sheets that never agree with their bank!

    • @BookkeepingMaster
      @BookkeepingMaster  11 месяцев назад +2

      Yes, I feel your pain. It gets easier the more you use it, but it could be better. Unfortunately, Sage seems to be adopting the Xero reconciliation method, too. Thanks for watching.

    • @TheSquidworm
      @TheSquidworm 11 месяцев назад

      @@BookkeepingMaster In video 3 you show on the reconciliation report where it's possible to enter the actual bank balance, but my client's Xero doesn't have this entry box, just a blank piece of screen where it should be. I know you are not here to trouble shoot, but thought I'd mention this just in case you have a quick answer to why this is different from your video!

    • @leebrendalee
      @leebrendalee 10 месяцев назад +1

      It’s really called bank matching , then do bank rec after I think

  • @tpsuthar17
    @tpsuthar17 11 месяцев назад +1

    Thank you clearly explained😍👌

  • @Pesaro27
    @Pesaro27 4 месяца назад +1

    Thank you for clear and precise instructions. I wonder if you have a video of how to transfer balances from Sage Line 50 to Xero and the procedure thereafter. Thanks

    • @BookkeepingMaster
      @BookkeepingMaster  4 месяца назад +1

      Not yet, but I'll add it to my list. Thanks for watching

  • @nicolakirk873
    @nicolakirk873 9 месяцев назад +1

    Very helpful! Thank you very much.😁

  • @Twinny-p8o
    @Twinny-p8o 2 месяца назад +1

    Thank you!!

  • @MrLittlejohn10
    @MrLittlejohn10 10 месяцев назад +1

    Many thanks for all the information and videos, can I ask you in your option which accounting software is best for Construction & trades business.....thanks

    • @BookkeepingMaster
      @BookkeepingMaster  10 месяцев назад +1

      No problem. I believe you emailed me earlier this week, which I've replied to. Thanks for watching.

  • @Darrell-h7w
    @Darrell-h7w 3 месяца назад

    Hi Book keeping master, i have set up to many bank accounts and cannot figure out how to delete. or is there a way to reset all of xero and redo bank reconcile

  • @faiolatheresabesana232
    @faiolatheresabesana232 9 месяцев назад +1

    This is very helpful. Thanks

  • @ContractorEngage
    @ContractorEngage 6 месяцев назад

    Hello there! What would make my bank statement balance in Xero actually differ from my actual Chase bank statement balance? I've tried refreshing the bank feed but this does not correct it. It is off by thousands, not just a small amount.

  • @claudetteweideman8424
    @claudetteweideman8424 5 месяцев назад +1

    Hi I need to allocate deposit to customer account

  • @mamw518
    @mamw518 2 месяца назад

    Can you explain the double entry ?

  • @Michelle-q4n9l
    @Michelle-q4n9l 11 месяцев назад +1

    Thank You !

  • @yakutselencetinalp5906
    @yakutselencetinalp5906 7 месяцев назад

    Thank you for your all videos! They are really helpful!
    Let's say we have sales invoice as £500 from the company XX Ltd and there is bank payment for this invoice but just £200. How we will reconcile this?

  • @sashabudhaiart1186
    @sashabudhaiart1186 5 месяцев назад

    Thanks for this! What about income coming in through direct payment - directly paid into your bank account and not through an invoice? Do you just use the CREATE tab?

  • @PaulsVlogs42101
    @PaulsVlogs42101 4 месяца назад +1

    very helpful, thx

  • @RachelCanny
    @RachelCanny 3 месяца назад

    Hello Bookkeeping Master :-) How would I match say 10 purchase invoices from a single supplier against 1 'Spent' statement line???

    • @BookkeepingMaster
      @BookkeepingMaster  3 месяца назад

      Hi. You can tick multiple invoices on the 'Match' feature. It should be straightforward. Thanks for watching.

  • @ayechan8760
    @ayechan8760 5 месяцев назад

    I have to knock off a payment from a customer with opening Account Receivable Balance which is locked. So, how can i open the locked account code?

  • @Jayyy967
    @Jayyy967 10 месяцев назад

    How would I reconcile a credit card payment? I have a chase credit card account and chase business checking account both are linked to Xero. Would I simply transfer to credit card account on the business account reconciliation page? FYI I use my business checking account to pay my credit card account.

    • @BookkeepingMaster
      @BookkeepingMaster  10 месяцев назад

      The credit card might be able to be added using the bank feed. Please try.

  • @bohooolol
    @bohooolol 10 месяцев назад

    Hi! very detailed explanation! Question, what if there is no suggestion at all? How would you recommend on doing it? Just go through create? or is there a more systematic way?

    • @BookkeepingMaster
      @BookkeepingMaster  10 месяцев назад

      Yes, create or match manually. Thanks for watching

    • @bohooolol
      @bohooolol 10 месяцев назад

      @@BookkeepingMaster Are the ones showing up on Match, uploaded invoice in Xero?

  • @DebbyDonadillo-g3i
    @DebbyDonadillo-g3i Год назад +1

    Thank you❤

  • @Paige________294
    @Paige________294 9 месяцев назад

    When you say the payments are matched against the invoices received, how does Xero know what invoices are received by suppliers? (Newbie here!)

    • @BookkeepingMaster
      @BookkeepingMaster  8 месяцев назад

      The invoices should already be on the software. Xero will then know what is outstanding and which relate to the payments made. I hope this helps. Thanks for watching.

    • @Paige________294
      @Paige________294 8 месяцев назад

      @@BookkeepingMaster Thank you for your response. Perhaps I should take one step back to try and understand better. How are the invoices "already on the software?" For example, if I received a pdf invoice from a supplier - how does Xero know about that?

  • @charlesyeomans
    @charlesyeomans 3 месяца назад

    What if an invoice is paid for in 2 payments on different days. Or 1 payment is made for several invoices

    • @BookkeepingMaster
      @BookkeepingMaster  3 месяца назад

      You can allocate multiple payments to the same invoice. The invoice will keep appearing until it is paid in full. Thanks for watching.

    • @charlesyeomans
      @charlesyeomans 3 месяца назад

      @@BookkeepingMaster Okay thanks, will try it out when do a test on Xero

  • @allyomeally-watson3285
    @allyomeally-watson3285 10 месяцев назад

    My client marked the sales invoices as paid in Xero by going into the invoice. Now the bank feed has come through, how does that work? Will there be a received money in the reconcile screen or will Xero recognise a duplicate transaction? Thanks

    • @BookkeepingMaster
      @BookkeepingMaster  10 месяцев назад

      Yes, it should match the transaction with the bank feed transaction. They will be matched(joined) together. A duplicate will not be created, if matched correctly. I hope this helps. Thanks for watching.

  • @Addicted2OILau
    @Addicted2OILau 9 месяцев назад

    I have to listen at 2x speed . Thank you for your help

  • @PreetKaur-nt1he
    @PreetKaur-nt1he 5 месяцев назад

    Will you please elaborate match option ?

    • @BookkeepingMaster
      @BookkeepingMaster  5 месяцев назад

      Thanks for the suggestion. I will do what I can.

  • @MuhammadSibtain-cj4yc
    @MuhammadSibtain-cj4yc 18 дней назад

    how to import a statement in xero