The user could not find previously unreconciled bill payments on the Checks and Payments subtab when reconciling a bank statement using Reconcile Bank Statement page.
Solution
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Navigate to Lists > Accounting > Accounts.
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On the list, locate the Bank account currently under reconciliation.
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Click the Bank account link. The user will be redirected to the Bank account's Register.
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Filter the dates located on the page's footer. These dates should be relevant to your reconciliation.
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Click Refresh.
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Verify all items, including Bill Payments, that have been cleared. These are the items that have a check mark on Clr column. If the box is unchecked, the item will reappear on the Reconcile Bank Statement as not reconciled.
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Proceed with the reconciliation on the Reconcile Bank Statement page.