It would be helpful for AgilLink to change "book balance" to "ledger balance" to avoid confustion whenever a client needs to run a standard bank reconcilation.
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MERGED
Unify language in Standard Bank Rec
Merged
"GL Date" and "Statement Balance" in Banking > Standard Bank Rec should be updated to read as "Ledger Date" and "Ledger Balance" just as Statement Date and Statement Balance is mirrored above.