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Default How do I set up a macro to help me to do bank reconciliations?

If you want to post your email address, I can send you a free zip file of a
check balancing program that I wrote. If you post your email address, be
sure to use characters that will disrupt and automatic address harvesters.
Something like:

mymailname\at/domain-dot-com

As long as I can understand what your username and domain name are I will
reassemble it correctly for use.

"Jaime" wrote:

Hello there

I used to have a macro in Excel 4 that compare 2 databases ,lets say bank
statements and outstandings checks. Macro sorted them, if check # was not
the same inserted a row the final output was total outstanding checks.
I'm talking more than 10 years ago!

Please help!

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