Banking

Configure & reconcile your bank/credit card accounts by connecting with Nimble Property.

Configure & reconcile your bank/credit card accounts by connecting with Nimble Property.

Steps:
  • Go to Bank Feed & click on Create Account.
  • Select your Bank from the drop down.
  • Enter the login credentials of the bank.
  • Click on Connect.
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Nimble’s ‘Auto Reconciliation’ feature allows you to configure your bank/credit card accounts to connect with Nimble Accounting and update and reconcile the books of accounts as and when required.

Steps:
  • Login to your account & Navigate to Transactions.
  • Click on Reconciliation.
  • Click on New Reconciliation.
  • Start comparing & matching your bank feeds with real-time statements.
  • If the difference is zero you can click on Reconcile.
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(a) How to create a check
  • Navigate to ‘Transactions’ from home screen.
  • Click on ‘Check’ & then ‘Add New’.
  • Select your bank which is mapped to your account under bank feeds.
  • Enter Purpose, Chart of Accounts, Payee Name, Amount details.
  • Click on Save.
(b) How to print checks

  • Navigate to ‘Transactions’ from home screen.
  • Click on ‘Print Checks’.
  • Select your Corporation, Bank Account, Starting Check Num.
  • Click on ‘Get’ button.
  • Select all your checks and print them all at once.
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Yes, with a few clicks you can connect your credit card with Nimble.
Steps:

  • Navigate to ‘Transactions’ from home screen.
  • Go to left side Menu and click on Bank Feed, click on New Bank button.
  • Select your Bank for the credit card from the drop down.
  • Enter the login credentials of the bank.
  • Click on Connect.
After successfully connecting, select ‘Map Accounts’ on the same screen and from the drop down select the bank account & nimble credit account Click on “map accounts” button to finish the process.
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Steps:
  • Select Corporation and click on ‘Connect’ to dropdown.
  • Now you can select your connected bank account from the drop down.
  • You will get displayed with all the bank transactions in a grid showing transactions with matched and unmatched status.
  • Select the entries that you want to post into Nimble Transactions by clicking on Post in Action column.
  • By default the account will be selected as “Ask the accountant”.
  • To change the Chart of Account click on Ask the accountant, select the respective Chart of account, Name and then click on post.
  • To post the transactions in the bulk, select all the transactions then click on the drop down to post or skip the transactions.
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