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banks (RSS)
  • Bank Reconciliation Support Roundtable

    Join us July 20 from 2:00 to 3:30 p.m. ET to break the myth that reconciliation is a complicated, unattainable task. Caroline Howell, Financial Edge Product Lead, will discuss the reconciliation process, best practices, and troubleshooting out-of-balance issues. You'll also have a question and answer...
    Posted to Forum by Jennifer Maroney on 06-11-2010
  • Voiding a cleared check

    We have several checks that were voided that should not have been voided. Some of these checks have already cleared the bank and many more of them have been sent to vendors. Has anyone experienced this? How do you resolve this? My understanding is that we cannot unvoid a check once its been voided. Do...
    Posted to Forum by Allison Salomon on 04-15-2010
  • Outstanding deposit adjustments and bank statement balance composition

    We reconcile to a figure that not only includes our operating bank account, but also other accounst, including some stock clearing account. In December [our year end] we had one of those accounts report a balance, for which we did not receive the settlement funsds until January. This stock gift was posted...
    Posted to Forum by Jim Kennedy on 02-05-2010
  • Client Trust (IOLTA) Bank Account

    We are a non-profit legal aid agency and I'm trying to set up a Client Trust (IOLTA) bank account within Blackbaud. We receive money from our clients that go into this trust account. Then we write checks on behalf of our clients to various vendors. We need to keep a separate balance for each client...
    Posted to Forum by Marlene Brodsky on 05-20-2009
  • Cash Mgmt Module - Check Register

    If you have the cash management module, how do you use your check register associated with Raisers Edge? Do you post RE to the check register? If so, are you able to reconcile to the bank statement? I’m having a difficult time finding a solution to working with the 3 components below: Raisers Edge [RE...
    Posted to Forum by Dale Katsuyama on 03-13-2009
  • Changing Bank accounts in SB

    Hello all, Does anyone know how to change bank account on student billing because we changed bank accounts and all student billing transcation still goes to our old bank acocunt. Please help.
    Posted to Forum by Oamien Oliha on 12-03-2008
  • Barcodes on checks???

    I just noticed that you can print barcodes on checks. Should I start printing them on checks??? Benefit? Thanks! - Angela
    Posted to Forum by Angela Beaver on 07-28-2008
  • AP EFT module

    Hi, For users that use the EFT module to pay vendors, could you please let me know which banks you use. Our bank doesn't do them. Thank you
    Posted to Forum by Debbie Stande on 06-26-2008
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