Dear Group members,
I have recently joined this community to improve my excel knowledge and efficiency in work. I am posting my query to seek your help and expert advise. I am explaining my query as....
How to identify reconciliating items between two set of data as in Bank Statement and General Ledger to prepare Bank reconciliation . The data involved is humongous and there are no common unique values to identify as in the unique cheque numbers or reference numbers. Please guide how I can identify the reconciliation items as in " Those entries ( amounts) which are in Bank and not in GL and those(amounts) which are in GL and not in Bank. I am not able to use Vlookups as the amounts can be duplicating or same in value and there are no other unique values to give references.
I am attaching an excerpt from the data. Please advise what formulas/techniques to use.
I would greatly appreciate your guidance and would be grateful for your support.
Regards...
I have recently joined this community to improve my excel knowledge and efficiency in work. I am posting my query to seek your help and expert advise. I am explaining my query as....
How to identify reconciliating items between two set of data as in Bank Statement and General Ledger to prepare Bank reconciliation . The data involved is humongous and there are no common unique values to identify as in the unique cheque numbers or reference numbers. Please guide how I can identify the reconciliation items as in " Those entries ( amounts) which are in Bank and not in GL and those(amounts) which are in GL and not in Bank. I am not able to use Vlookups as the amounts can be duplicating or same in value and there are no other unique values to give references.
I am attaching an excerpt from the data. Please advise what formulas/techniques to use.
I would greatly appreciate your guidance and would be grateful for your support.
Regards...