Banking
Getting your bank’s version of events into Bizmitra and agreeing it with your own.
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Pages below that are not published yet open a short placeholder. Contact Bizmitra if you need one of them now — asking also tells us what to write next.
Pages
| Page | What it answers |
|---|---|
| Add Bank Accounts | Adding an account and linking it to your ledgers. |
| Import Bank Statements | Bringing a statement in from your bank. |
| Match Transactions | Matching statement lines to receipts and payments. |
| Bank Reconciliation | Agreeing your book balance with the bank’s. |
| Bank Reports | Bank book, reconciliation statement, and cash position. |
Looking for something else?
| I want to … | Go to |
|---|---|
| Something in another part of the ERP | All ERP docs |
| Install or fix the Windows Connector | Tally Connector |
| Build against the Bizmitra API | Developer Platform |