To learn how to complete the tasks below, please click on the following links.

Installing a Key File

Importance of Performing a Power Broker Backup

Creating a PowerTools Icon

Bank Rec1 – Bank Table

Bank Rec2 – Reconcile Cheques

Bank Rec3 – JE

Bank Rec4 – Print Reconciliation

Bank Rec5 – Update Bank

Bank Rec6 – Balance to GL

Bank Rec7 – Troubleshoot

Bank Rec8 – Void Cheque