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	<id>https://wiki.godlovesbrookline.com/mw/index.php?action=history&amp;feed=atom&amp;title=Amex_reconcilation</id>
	<title>Amex reconcilation - Revision history</title>
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	<updated>2026-09-29T18:13:18Z</updated>
	<subtitle>Revision history for this page on the wiki</subtitle>
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		<id>https://wiki.godlovesbrookline.com/mw/index.php?title=Amex_reconcilation&amp;diff=1187&amp;oldid=prev</id>
		<title>Serenity152102: Created</title>
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		<updated>2026-07-28T00:30:20Z</updated>

		<summary type="html">&lt;p&gt;Created&lt;/p&gt;
&lt;p&gt;&lt;b&gt;New page&lt;/b&gt;&lt;/p&gt;&lt;div&gt;&lt;br /&gt;
= Reconciling the American Express Credit Card in Aplos =&lt;br /&gt;
&lt;br /&gt;
=== Purpose ===&lt;br /&gt;
To accurately reconcile the American Express credit card register in Aplos using the monthly American Express statement activity.&lt;br /&gt;
&lt;br /&gt;
=== Frequency ===&lt;br /&gt;
Monthly, after the American Express statement has closed.&lt;br /&gt;
----&lt;br /&gt;
&lt;br /&gt;
== Procedure ==&lt;br /&gt;
&lt;br /&gt;
=== Step 1: Log into American Express ===&lt;br /&gt;
&lt;br /&gt;
# Navigate to the American Express online account portal.&lt;br /&gt;
# Sign in using your authorized credentials.&lt;br /&gt;
&lt;br /&gt;
=== Step 2: Download the Statement Activity ===&lt;br /&gt;
&lt;br /&gt;
# Select &amp;#039;&amp;#039;&amp;#039;Statements &amp;amp; Activity&amp;#039;&amp;#039;&amp;#039;.&lt;br /&gt;
# Locate the &amp;#039;&amp;#039;&amp;#039;most recent statement closing date&amp;#039;&amp;#039;&amp;#039;.&lt;br /&gt;
# Download the statement activity file for that statement period.&lt;br /&gt;
&lt;br /&gt;
=== Step 3: Determine the Reconciliation Information ===&lt;br /&gt;
The downloaded workbook contains multiple worksheets.&lt;br /&gt;
&lt;br /&gt;
==== Reconciliation Date ====&lt;br /&gt;
&lt;br /&gt;
# Open the &amp;#039;&amp;#039;&amp;#039;Transactions&amp;#039;&amp;#039;&amp;#039; (first) worksheet.&lt;br /&gt;
# At the top of the transaction list, locate the statement period (for example, &amp;#039;&amp;#039;&amp;#039;June 22 – July 22&amp;#039;&amp;#039;&amp;#039;).&lt;br /&gt;
# Use the &amp;#039;&amp;#039;&amp;#039;ending date&amp;#039;&amp;#039;&amp;#039; of the statement period (in this example, &amp;#039;&amp;#039;&amp;#039;July 22&amp;#039;&amp;#039;&amp;#039;) as the &amp;#039;&amp;#039;&amp;#039;reconciliation ending date&amp;#039;&amp;#039;&amp;#039; in Aplos.&lt;br /&gt;
&lt;br /&gt;
==== Reconciliation Balance ====&lt;br /&gt;
&lt;br /&gt;
# Open the &amp;#039;&amp;#039;&amp;#039;Transaction Summary&amp;#039;&amp;#039;&amp;#039; worksheet (second tab).&lt;br /&gt;
# Locate the &amp;#039;&amp;#039;&amp;#039;Total&amp;#039;&amp;#039;&amp;#039; for the statement.&lt;br /&gt;
# Record this amount as the &amp;#039;&amp;#039;&amp;#039;ending balance&amp;#039;&amp;#039;&amp;#039; for the reconciliation in Aplos.&lt;br /&gt;
&lt;br /&gt;
=== Step 4: Reconcile in Aplos ===&lt;br /&gt;
&lt;br /&gt;
# Open &amp;#039;&amp;#039;&amp;#039;Aplos&amp;#039;&amp;#039;&amp;#039;.&lt;br /&gt;
# Navigate to the &amp;#039;&amp;#039;&amp;#039;American Express&amp;#039;&amp;#039;&amp;#039; register.&lt;br /&gt;
# Start a new reconciliation.&lt;br /&gt;
# Enter:&lt;br /&gt;
#* &amp;#039;&amp;#039;&amp;#039;Statement Ending Date:&amp;#039;&amp;#039;&amp;#039; The ending date from the statement period.&lt;br /&gt;
#* &amp;#039;&amp;#039;&amp;#039;Ending Balance:&amp;#039;&amp;#039;&amp;#039; The Total from the &amp;#039;&amp;#039;&amp;#039;Transaction Summary&amp;#039;&amp;#039;&amp;#039; worksheet.&lt;br /&gt;
# Match and clear all applicable transactions until the reconciliation difference is &amp;#039;&amp;#039;&amp;#039;$0.00&amp;#039;&amp;#039;&amp;#039;.&lt;br /&gt;
# Complete and save the reconciliation.&lt;br /&gt;
&lt;br /&gt;
----&lt;br /&gt;
&lt;br /&gt;
== Verification ==&lt;br /&gt;
Before finalizing, verify that:&lt;br /&gt;
&lt;br /&gt;
* The reconciliation ending date matches the statement ending date.&lt;br /&gt;
* The ending balance matches the Total on the &amp;#039;&amp;#039;&amp;#039;Transaction Summary&amp;#039;&amp;#039;&amp;#039; worksheet.&lt;br /&gt;
* All cleared transactions agree with the downloaded statement.&lt;br /&gt;
* The reconciliation difference is &amp;#039;&amp;#039;&amp;#039;$0.00&amp;#039;&amp;#039;&amp;#039; before completing the reconciliation.&lt;/div&gt;</summary>
		<author><name>Serenity152102</name></author>
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