Loading Opening Bank Balances
In order to start your Bank Reconciliation process properly, you have to create the Opening Bank Statement Balance manually and match this to a Bank Receipt if your account is in credit, or to a Bank Payment if you have an overdraft. We will illustrate this article optimistically, assuming that you have funds in your bank account. If not, simply reverse the process.
Fully Reconcile the Bank Accounts
It makes the migration much simpler if the Bank Account is fully reconciled on the Migration Day. This makes the reconciliation much easier, so try to avoid posting payments or receipts which will not have cleared on the migration day.
Opening Balances Suspense Accounts
There are 3 Opening Balance Suspense Accounts in the standard Aedon Chart of Accounts
| 9990 | Opening Balances – Accounts Receivable Suspense |
| 9991 | Opening Balances – Accounts Payable Suspense |
| 9992 | Opening Balances – Bank Balances Suspense |
Step-by-Step Process
- Load the Opening Trial Balance
When you load the Opening Trial Balance, do not use 7500 Bank Account Nominal Codes instead put the values for all your Bank Accounts into the 9992 Opening Balances – Bank Balances Suspense.
| Repeat Steps 2 to 4 for each Bank Account. |
2. Create a Manual Bank Statement Line
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- Select the relevant Bank Account
- Choose the Bank Statement menu and click New
- Create a Receipt if there is a credit balance, or a Payment if it is an Overdraft with the migration date
- Add useful reference information.
- Click Save
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3. Create an Opening Bank Receipt or Payment
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- Select the relevant Bank Account
- Choose the Bank Receipt menu (Bank Payment for Overdrafts) and click New
- Create a Receipt using the Opening Bank Balance product which has the default nominal code 9992 and Tax Code X
- Add useful reference information.
- Click Save
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The debits and credits for the Bank Receipt are:
| Nominal Code | Nominal Name | Debit | Credit |
| 75XX [Bank Account Specific] 9992 |
Bank Account Opening Balance – Bank Balances Suspense |
XXX | XXX |
Obviously, these Ledger Entries are reversed for an Overdraft.
4. Reconcile the Opening Bank Balance
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- Select the relevant Bank Account
- Choose the Reconciliation Menu
- The Bank Statement will already be Auto-matched, click OK
- Confirm and click Save




















