Bank Reconciliation - Transfer Amounts
I am doing a bank reconciliation. In the prior month we made a transfer of $1,426.10 from account A to account B. In the prior month bank rec the $1,426 was an outstanding deposit for bank B. Now in the current month for account B do I do anything with the $1,426? Both accounts are cash accounts.
Am I supposed to make a journal entry for $1,426?
I am doing the bank rec two months later as well. There was no journal entry made originally for the $1,426 to the GL.
Is this an issue?