1. Hover over ‘Books’ in the menu bar.
2. Select ‘Statements’ from the drop-down.
3. Click on the reference of the statement.
4. When the balance difference is equal to 0, a blue pop-up will appear in the bottom right corner of your screen, saying ‘Statement Balanced’.
5. Click on this blue pop-up to reconcile the full statement.
6. Alternatively, tick the ‘Reconciled’ box at the top of the statement and enter the date before clicking ‘Ok’ on the confirmation pop-up.