Hello There, I have a couple of to create a simple bank reconciliation template. Two sets of data need to be reconciled - (based on 1 criterion) means all non-pared items should be identified and summaries into 2 columns: un pared i(unique) items from 1 data set and un pairs from the second... (Budget: $10 - $30 USD, Jobs: Data Entry, Data Processing, Excel, Microsoft Office, Visual Basic)
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