Ensure your bookkeeping matches your bank statements & balances by reconciling your accounts. Learn more about how to reconcile, resolve common reconciliation issues, and more.
- How to use Account Reconciliation
- Adding a Year-End Adjustment to Start Reconciliation
- Automated bookkeeping with Wave Payments
- How to resolve duplicate transactions
- What to do if your account balances in Wave don’t match your bank account balances
- Bookkeeping your written checks
- Bookkeeping undeposited checks
- What does reviewing a transaction do?
- Adjustment entries in your upgraded account