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Free License - Understanding Reconciliation Workflow

Account Reconciliation uses a three-stage approval workflow. After you set GL Balance and import GL Lines (for bank accounts), the workflow works the same as Enterprise.

Stage

Description

Status Indicator

Preparation

Preparer sets GL Balance, adds GL Lines, uploads bank statements, and performs matching.

Not Started (grey) or In Progress (blue)

Review

Reviewer examines the reconciliation and approves or rejects it.

In Review (yellow)

Approval

Approver provides final sign-off or rejects the reconciliation.

Pending Approval (orange) or Approved (green)

Modifying Data After Preparation Stage

To modify GL Balance or GL Lines after the Preparation stage:

  1. Revert the reconciliation to In Progress status.

  2. Restart the reconciliation to apply changes.

Workflow Rules

  • Role Assignment: Preparer and Reviewer can be the same person. Reviewer and Approver cannot be the same person.

  • Comments: Comments are optional when submitting or approving. Comments are mandatory when rejecting.

  • Revert Approval: Only the original approver can revert the approval.

Reconciliation Workflow Restrictions

To protect data integrity and maintain proper audit trails, editing actions are automatically disabled once a reconciliation moves beyond the Preparation stage.

Actions are also blocked if the reconciliation for the same account in a prior period is still open. The system displays a message indicating that you cannot perform any action until the prior period reconciliation is closed.

Bank Account Reconciliations

Once a bank reconciliation is submitted for review, the following actions are locked:

  • Set GL Balance

  • Import GL Balance

  • Add GL Lines

  • Edit GL Lines

  • Delete GL Lines

  • Match transactions

  • Unmatch transactions

  • Upload files

  • Edit transaction details

  • Delete transactions

Manual Reconciliations

Once a manual reconciliation is submitted for review, the following actions are locked:

  • Set GL Balance

  • Set Support Balance

  • Add unmatched line items

  • Edit unmatched lines

  • Delete unmatched lines

  • Upload files

Early Start for Next-Period Reconciliations [v26.1] 

Preparers can start the next period's reconciliation once the current period moves beyond the Preparation stage.

Rules:

  • The next period reconciliation is available to start as soon as the current period is submitted for review.

  • The next period reconciliation cannot be submitted for review until the previous period's reconciliation is completed (approved).

If the previous period is rejected or re-opened: The system automatically resets automatic matches in the next period (manual matches are preserved) and restricts specific actions until the previous period returns to review.

Note: The rejection message in the previous period includes a warning: "This will reset auto matches in the future reconciliation."

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