As we don’t live in a perfect world, the bank reconciliation isn’t going to be perfect every time. Therefore it is necessary to create adjustments to ensure the bank’s records balance against the records in Wise Owl Legal.

 To enter a new Bank Adjustment, select the black Enter Adjustment button on the bank reconciliation screen.

 

 Wise Owl Legal software has made adjustments easy, by having a pre-existing list of adjustments to choose from, spelt out in layman’s terms.

   

The adjustments have also been pre-numbered for your convenience. The list of adjustments, and additional information, is detailed below:

  1. There is money deposited into my account that I have not yet processed
  2. There is an error on my bank statement that the BANK will TAKE OUT of my account
  3. There is money taken out of my account that the FIRM will PUT BACK
  4.  A cheque was presented for LESS than our records
  5.  A cheque was presented for MORE than our records
  6.  Money deposited was MORE than the receipt we wrote – Firm will receipt
  7.  Money deposited was for LESS than the receipt we wrote – Firm will deposit more
  8.  Deposit for General was put into trust – bank will correct
  9.  Deposit for General was put into trust – we will receipt and process correction

   1000. None of the above describes my problem

When in the adjustment screen, this list can be brought up by pressing the down arrow on your keyboard.