PMX: AP - Bank Reconciliation Overview Live Training

This course is designed to introduce the bank reconciliation feature in Accounts Payable in Property Management X.

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About this course

Upon completion of this course, you will be able to:

  • Identify the bank reconciliation features.
  • Understand the transactions that appear on reconciliations.
  • Create bank reconciliations.

Note (please read!):

  • Registration is a two-step process. After clicking the Register button above, you must then select the specific date on which you want to attend the training. After selecting the date, you will receive an email message confirming your registration.

Accounts Payable - Bank Reconciliation Overview Live Training

Event Date Spaces left Actions
Accounts Payable - Bank Reconciliation Overview Live Training - 15

Curriculum01:00:00

  • Accounts Payable - Bank Reconciliation Overview Live Training 01:00:00
  • Survey

About this course

Upon completion of this course, you will be able to:

  • Identify the bank reconciliation features.
  • Understand the transactions that appear on reconciliations.
  • Create bank reconciliations.

Note (please read!):

  • Registration is a two-step process. After clicking the Register button above, you must then select the specific date on which you want to attend the training. After selecting the date, you will receive an email message confirming your registration.

Live events

Accounts Payable - Bank Reconciliation Overview Live Training

Event Date Spaces left Actions
Accounts Payable - Bank Reconciliation Overview Live Training - 15

Curriculum01:00:00

  • Accounts Payable - Bank Reconciliation Overview Live Training 01:00:00
  • Survey