show how to do in quickbooks Pay
$450
from the checking account to the Mastercard account. Print the journal entry into a pdf file (see "More" option in the transaction window) Deposit all undeposited fund into the checking account. Print the deposit slip and summary into a pdf file. Review all the checking account transactions from the bank feed (for review" window). Add the transaction of Chin's Gas into the Gas and Oil expense account. Print the journal entry into a pdf file. Create rules to automatically debit/credit rent and lease expense for any A Rental translations. Save the screen shot of the bank rules page. Reconcile the checking account for the most recent month, assumning the bank statement has the same balance as shown in your book account. Print the reconciliation report into a pdf file.