---
title: "Bank Reconciliation Screens"
canonical: "https://kb.myframeworks.com.au/space/FRAM/28380798/Bank%20Reconciliation%20Screens"
format: markdown
---
The Bank Reconciliation module within Frameworks allows you to compare transactions in your Cash account of the General Ledger with those recorded on your bank statement. Any discrepancies can be investigated and journals adjusted to ensure your Bank Statement and the General Ledger records match.

Frameworks provides flexibility in bank reconciliation by offering standard reconciliation and statement import options.

- The **Manual  Bank Reconciliation **option involves a hands-on, transaction-by-transaction approach with a physical bank statement.
- The **Statement Import** **Bank Reconciliation **option automates the process through digital statement imports for greater efficiency.

Users can choose the method that best suits their preferences and needs.

## Learn More About Bank Reconciliation Screens in Frameworks

Select an option below for more information:

> Macro (ui-children)

> Macro (style)