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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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I've just provided the answer on the same question here.

Just the summary:

In Odoo, reconciliation means linking each bank transaction to the correct document (e.g., customer invoices, vendor bills, or other entries). Transactions can be imported by bank synchronization, file upload (CSV/OFX), or manual entry — the method doesn’t matter as long as they are in Odoo. Special cases like customer prepayments or loans require using advance payments or accounts with Allow Reconciliation enabled. The best practice is to keep transactions up to date and reconcile regularly to avoid errors.

Good luck!

At ERPixel, we specialize in complex financial accounting in Odoo, including consolidating multiple legal entities into one company.

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