BASA Financials
OALSS
9:37 AM
Reconciliation Detail 10110 ยท Chase - Operating, Period Ending 02/28/2014
03/01/14
Type
Date
Num
Name
Clr
Amount
Balance
Beginning Balance
35,722.35
Cleared Transactions Checks and Payments - 1 item
Bill Pmt -Check
2/24/2014
2212 Doubletree Worthin...
X
-18,921.14 -18,921.14
-18,921.14 -18,921.14
Total Checks and Payments
Deposits and Credits - 4 items
General Journal General Journal General Journal General Journal
1/31/2014 2/4/2014 2/12/2014 2/19/2014
9
X X X X
0.06
0.06
11 12 10
290.00
290.06 380.06
90.00
1,000.00 1,380.06
1,380.06 1,380.06
Total Deposits and Credits
Total Cleared Transactions
-17,541.08
-17,541.08
Cleared Balance
-17,541.08
18,181.27
Register Balance as of 02/28/2014
-17,541.08
18,181.27
Ending Balance
-17,541.08
18,181.27
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