bank_reconciliation_statement_KEY | int (4) | NOT NULL | Primary key for this table. |
statement_beginning_date | smalldatetime (4) | NOT NULL | beginning date for a bank account reconciliation. |
statement_ending_date | smalldatetime (4) | NOT NULL | ending date for a bank account reconciliation. |
checkbook_KEY | int (4) | NOT NULL | Links us to checkbook that this bank rec pertains to. |
statement_index | int (4) | NOT NULL | 1 will be the first bank rec done for a given checkbook, 2 will be the second, etc. Allows us to see the sequence of the bank recs done for a checkbook. |
bank_reconciliation_status_KEY | int (4) | NOT NULL | Links us to the table that gives the bank rec status: available status types are current, pending, finalized. |
beginning_statement_balance_amount | decimal (9, 2) | NOT NULL | Beginning balance from the bank statement. |
ending_statement_balance_amount | decimal (9, 2) | NOT NULL | Ending balance from the bank statement. |
adjustments_amount | decimal (9, 2) | NOT NULL | adjustment amount for this period. |
adjusted_period_balance_amount | decimal (9, 2) | NOT NULL | adjusted account balance amount. |
unreconciled_amount | decimal (9, 2) | NOT NULL | unreconciled amount for this period. |
deposits_other_credits_amount | decimal (9, 2) | NOT NULL | Deposits and other credits from the bank statement. |
checks_other_debits_amount | decimal (9, 2) | NOT NULL | checks and other debits from the bank statement. |
open_deposits_other_credits_amount | decimal (9, 2) | NOT NULL | open deposits other credits for this reconciliation period. |
open_checks_other_debits_amount | decimal (9, 2) | NOT NULL | open checks other debits for this reconciliation period. |
bank_errors_amount | decimal (9, 2) | NOT NULL | bank errors, this period. |
financial_account_reconciled_amount | decimal (9, 2) | NOT NULL | This amount is calculated by taking the ending statement amount, adding in the amount of open deposits and credits, subtracting the amount of open checks and debits, and adding or subtracting any bank errors. |
prior_statement_uncleared_checks_debits_amount | decimal (9, 2) | NOT NULL | This is also called the "total balance of checks and debits in transit". It is the amount of uncleared (open) checks from the last bank rec period. |
checks_debits_reconciliation_analysis_total_amount | decimal (9, 2) | NOT NULL | Calculated by taking the prior_statement_uncleared_checks_debits_amount, adding the current period gl account credit balance, then subtracting the amount of checks and debits cleared on the bank statement. |
checks_debits_reconciliation_analysis_difference_amount | decimal (9, 2) | NOT NULL | Calculated by taking the checks_debits_reconciliation_analysis_total_amount and subtracting the open checks amount. |
prior_statement_uncleared_deposits_credits_amount | decimal (9, 2) | NOT NULL | This is also called the "total balance of deposits and credits in transit". It is the amount of uncleared (open) deposits from the last bank rec period. |
deposits_credits_reconciliation_analysis_total_amount | decimal (9, 2) | NOT NULL | Calculated by taking the prior_statement_uncleared_deposits_credits_amount, adding the current period gl account debit balance, then subtracting the amount of deposits and credits cleared on the bank statement. |
deposits_credits_reconciliation_analysis_difference_amount | decimal (9, 2) | NOT NULL | Calculated by taking the deposits_credits_reconciliation_analysis_total_amount and subtracting the open deposits amount. |
prior_period_bank_reconciliation_ending_balance_amount | decimal (9, 2) | NOT NULL | Ending balance from the last period's reconciliation. |
current_period_financial_account_beginning_balance_amount | decimal (9, 2) | NOT NULL | The GL account beginning balance for the current period. |
current_period_financial_account_ending_balance_amount | decimal (9, 2) | NOT NULL | The GL account ending balance for the current period. |
current_period_financial_account_debits_amount | decimal (9, 2) | NOT NULL | The debit amount for the GL account for this checkbook. |
current_period_financial_account_credits_amount | decimal (9, 2) | NOT NULL | The credit amount for the GL account for this checkbook. |
statement_file_name | nvarchar (520) | NOT NULL | The location and name of the imported Bank Statement file |
ending_statement_balance_amount_override | decimal (9, 2) | | the ending statement balance amount entered by the user. This is sometimes used instead of the calculated amount. If the user does not enter an override amount, then this column will be null. If an override amount has been entered, this will be it, and it will be used as the bank reconciliation statement ending balance amount, unless the user has entered a non-zero amount for statement deposits/additions and/or statement checks/payments. If a non-zero entry exists for one of those two, then this override amount will be ignored, and the calculated amount will be used instead. Therefore, this override amount is used conditionally, it is not always used when it exists. |