Add miscellaneous transactions

Article • 4/27/2026 • 1 min read

Use the Other Transactions tab to post transactions such as interest, transfers, direct debits, and other items from your bank statement to the appropriate general ledger account.

To add miscellaneous transactions

  1. Open the Bank Reconciliation (BANKREC) page.

    1. Select Financial Management > Financial Transactions > Bank Reconciliation.

    Or

    1. Search for BANKREC or Bank Reconciliation in the Navigation box and then select Bank Reconciliation.

    The Bank Reconciliation (BANKREC) page appears.

  2. On the Toolbar, click Browse.

    The Browse For Bank Reconciliation window appears.

  3. Select the row that contains the required statement, and click Select. Or, double-click the row that contains the required statement.

  4. Click the Other Transactions tab.

  5. On the grid toolbar, click New.

  6. Enter the transactions:

    1. In the Entry# field, enter the journal entry number, if you use manual sequencing.

    2. In the Trans Date box, enter the transaction date.

    3. Click the GL Account Lookup Reference, and select the GL account from the Lookup For GL Account window.

    4. In the Trans Desc box, enter a brief description of the transaction.

    5. In the Trans Amount box , enter the transaction amount.

      To enter a credit against the cash account, enter a minus sign (–) before the transaction amount.

  7. On the toolbar, click Save.