​How to generate a reconciliation report?

T​Generating a reconciliation report in Metro ERP involves several steps within the accounting module. Here’s a step-by-step guide to help you generate this report:

1) Once logged in, navigate to the "Accounting" module by clicking on its icon in the main dashboard or by using the application menu.


2) Navigate to the Accounting Module:

Click on the "Accounting" module from the main dashboard.


3) Open the Reconciliation Menu:

In the accounting module, find the menu item labeled "Reconciliation". This can typically be found under the "Accounting" tab or in the "Accounting" dashboard.



​From the "Reconciliation" menu, you will see various options related to bank reconciliation, such as "Reconciliation Models" and "Bank Reconciliation".

Choose the "Bank Reconciliation" option to view and manage reconciliations for your bank statements.


4) Filter and Select Statements:

Use filters to find the specific bank statements or reconciliations you want to report on. You can filter by date, status, and other criteria.



5) Generate the Report:

Once you have the desired bank statements or reconciliations displayed, look for the "Print" or "Report" button. This button is usually found at the top of the screen.

Choose the Reconciliation Report:

  • In the print or report options, select the type of reconciliation report you want to generate. This might be labeled as "Reconciliation Report" or similar.

Configure Report Settings:

  • Configure any necessary settings for the report, such as the date range, specific accounts, or other parameters.

Print or Export the Report:

  • After configuring the settings, click the "Print" or "Export" button to generate the report. You can usually choose to print it directly, download it as a PDF, or export it to Excel or another format.


PDF report reference is below:


Excel report reference is below:



Review the Report:

  • Once generated, review the report to ensure it contains the necessary information. The reconciliation report should detail the reconciled transactions, outstanding items, and any discrepancies.




To get more details how to generate a reconciliation report s, please do contact us at  support@metrogroup.solutions