Reconciliation Report
The Reconciliation report is a summary of totals, not necessarily the status of individual transactions. Use this report to reconcile P-Card with your bank statement. The time when you run the report is important because your Approvers may update and approve transmittals, or your fiscal staff may fix P-Card transactions in STARS that are in error and these may post at the time you are running a report.
Select the same date range for this report as the date range of your bank statement, and this amount should match your bank statement balance.
Once you have a report, examine the Total of each column of the report, but especially:
1. Click Reports on the P-Card Admin menu.
Figure 1 - Report
2. Select a date range, and then click the desired file format.
Figure 2 - Reconciliation Report example