====== End of Day Cash Clearing Reconciliation ====== The following article will discuss the motivation for reconciling the Cash Clearing account.\\ [[:faq:Cash Clearing Overview]] For an overview of closing out and End of Day (EOD) then review the link below.\\ [[:faq:Counting Monies at EOD|Counting up your Cash at the end of the day, an overview of the process]] The link below has a video demonstration on how to use the Journal Entry to book the money taken in for the day from the cash clearing account to the bank account.\\ [[:faq:Making the Deposit|Making the Deposit Entry at the end of the day]] [[:faq:reconcile_to_0|Did the deposit entry bring me to a $0 balance in Cash Clearing?]] [[:faq:float_goes_where|Accounting for the float amount]] [[:faq:procedure_when_out|Procedure when Cash Clearing has never balanced]] [[:faq:cash_clearing_reconciliation:cash_clearing_reconciliation_other_options_perfection|Click here for a great article on cash clearing reconciliation with an FAQ style to it]]