BASA Financials
OALSS
12:56 PM
Reconciliation Detail 10110 ยท Chase - Operating, Period Ending 01/31/2016
01/30/16
Type
Date
Num
Name
Clr
Amount
Balance
Beginning Balance
28,443.19
Cleared Transactions Checks and Payments - 9 items
Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal General Journal
1/12/2016 1/12/2016 1/12/2016 1/12/2016 1/19/2016 1/19/2016 1/19/2016 1/20/2016 1/27/2016
2226 Jackson Milton Loc... 2227 Eastern Local Scho... 2228 Jefferson Local Sch... 2229 Hartmans Trophies ... 2230 Tri-Valley Endownm... 2232 Ellen and Jim Tress...
X X X X X X X X X
-120.00 -120.00 -120.00 -96.75 -500.00 -500.00 -300.00 -850.00 -83.73
-120.00 -240.00 -360.00 -456.75 -956.75
-1,456.75 -1,756.75 -2,606.75 -2,690.48 -2,690.48
2231 Finkes, Matt
59 54
Total Checks and Payments
-2,690.48
Deposits and Credits - 3 items
General Journal General Journal General Journal
1/21/2016 1/27/2016 1/27/2016
55 56 58
X X X
280.00
280.00 320.00 492.00 492.00
40.00
172.00 492.00
Total Deposits and Credits
Total Cleared Transactions
-2,198.48
-2,198.48
Cleared Balance
-2,198.48
26,244.71
Uncleared Transactions Deposits and Credits - 1 item
General Journal
1/29/2016
60
850.00 850.00
850.00 850.00
Total Deposits and Credits
Total Uncleared Transactions
850.00
850.00
Register Balance as of 01/31/2016
-1,348.48
27,094.71
Ending Balance
-1,348.48
27,094.71
Page 1
Made with FlippingBook