Updated on September 24, 2026

How to do a bank reconciliation

Mark the transactions that are already in your accounting software so you don't post them again.

Bank reconciliation lets you identify the bank transactions that are already posted in the ERP or accounting software, preventing them from being recorded again in Ubyquo.

Important: Do this process whenever you have bank transactions that are already posted in the accounting software.

Steps to do the bank reconciliation

1

Open the Conciliación option

From the Bancos (Banks) tab, open the Conciliación (Reconciliation) option.

Banks module - Do a bank reconciliation in Ubyquo
2

Reconcile the bank transaction

  • Find the bank transaction you want to reconcile.
  • Click Conciliar (Reconcile).
Banks module - Do a bank reconciliation in Ubyquo
3

Undo a reconciliation

If you need to undo a reconciliation:

  • Find the reconciled transaction.
  • Right-click it.
  • Select Desconciliar (Unreconcile).