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.xlsxIn accounting, a bank reconciliation statement is a procedure that explains the differences between the bank balance shown in an organization's bank statement and the corresponding amount shown in the organization's own accounting records. This reconciliation process of matching the balances is mainly for a cash account and to inform third parties, such as tax authorities about the differences between the two and to book changes to the accounting records as appropriate.
Using this Bank Reconciliation Template MS Excel template guarantees that you will save time, cost and efforts and enables you to reach the next level of success in your personal finance or project, education, etc. Download it now!
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