Accounts & Transactions
All your accounts and transactions are managed in the Register. Support for banking and credit accounts are built in. Banking accounts will give you an up to date balance and reconciled balance. Each account can even have its own currency.†
Group your accounts however it makes sense for you
Account Groups allows you to group your accounts together for better organization. Chose groups that make sense for you. Someone may have Business and Personal accounts, where another may have Banking and Credit accounts. Each group has its own subtotal. Feel free to make as many groups and accounts as you want, and order them which ever way makes sense to you.
Transactions are grouped by their date. Each date row displays the running balance for that day. The balance as of any specific transaction can be viewed by pressing-and-holding a transaction. Edit a transaction by simply tapping it. Delete it by swiping. Reconcile a transaction by tapping the reconcile check box. You can even hide reconciled transaction through the options popup located within the header.
Create transaction, transfers, or copy a memorized transaction for commonly used payments. For those of you who really like to keep things organized, split transactions allows you to fine-tune your purchase records. When creating transfers between accounts, the records are linked, so making a change will be affected in both accounts.
Most finance management apps allow a payee, and some even a category. None, however, allow you the flexibility and ease like iReconcile. Payees and categories only need to be entered once. After that, iReconcile remembers your entries, and will suggest options as you type. It will even remember what category you selected for your payees! Subcategories are fully supported; simply enter your category and subcategory separated by a semi-colon(for example “Utilities: Cable” or “Vehicle: Fuel”), and iReconcile will handle it from there. Budgets and Reports will even know when you’ve used subcategories.
If you schedule your memorized transactions, you can use the “Look-Ahead” feature in the register to see what your register will look like in the next month. You will see all future transactions as if they were posted to the register (in pale blue for distinction). Even the daily balances will display correctly.
† Currency support is provided for each account. Any account may use any region supported by your device. iReconcile does not utilize currency conversion, so reports and budgets must be run separately if multiple currencies are being used. Currently, currency support is limited to only the register. Budgets and reports do not utilize currency information at this time.