Let us understand how to book bank payments & receipts and then how to reconcile those bank entries.
Video With Timestamp
0:00 Bank Receipt From Debtor
1:40 Add Outstanding Invoice
2:00 TDS Allocation
2:30 Reconcile Receipt Entry
3:13 Bank Payment To Creditor
3:44 Payment Entry Form
6:14 Reconcile the Payment Entry
6:54 On Account Payment Entry From Bank Reconciliation Form
8:03 Bank Receipts & Payment Entry Options from Navigation & Bank Reconciliation Form
9:04 Bank Entry
9:31 Forex Receipt From Debtor
11:23 Forex Payment to Creditor
13:32 Book Bank Charge