Set up and Run Bank Reconciliation
This Training will provide a step-by-step guide for completing the bank reconciliation process in the Bank Reconciliation application. This application retrieves transactions from Payroll and Finance to help reconcile the cash balance in the accounting records with the bank statement balance.
Fiscal Year Close Process - July Start LEAs 2025-2026
This training helps finance staff complete the ASCENDER End-of-Year (EOY) process accurately and efficiently. Participants will learn to close the fiscal year, prepare for the next, and maintain compliance with district financial procedures.