To fieryangel in the Sky:
I agree not.
On the Bank Reconciliation issue, you do not need to do Adjusting Entries on the Outstanding Cheques.
It will be a redundant entry if you need to adjust back to the book the corresponding Cash you have entered before.
To fieryangel in the Sky:
I agree not.
On the Bank Reconciliation issue, you do not need to do Adjusting Entries on the Outstanding Cheques.
It will be a redundant entry if you need to adjust back to the book the corresponding Cash you have entered before.