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I’m using Odoo 18 Accounting and I want to understand the correct process for bank reconciliation.

  • What is the best practice for reconciling bank statements with journal entries?
  • Should we use Bank Synchronization, manual import of Bank Statement files (CSV/OFX), or manual entry?
  • How can we make sure all transactions are matched correctly and avoid reconciliation errors?
  • Is there an official step-by-step workflow recommended by Odoo for accountants?

I want to explain this process clearly to our accountant, so I’m looking for the correct and complete way to do it.

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