For existing Arthur users the transition to our Bank Reconciliation is very easy
Before Setting it up: We recommend that our users complete all charges, payments and balances up to a given date of their choosing. To make sure the system is fresh for the new bank reconciliation to begin on that chosen date.
Setting it up: Follow these guides the same way just remember: Set the conversion date as the day after the chosen date. Put the balance as it was at the end of the chosen day.
Post Set-up: Use it straight away
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