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Since entering opening balances is the first step to accounting success with Buildium, this article will show you how to indicate the amount of money each property has in the bank in Buildium at your accounting start date.

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This article will explain what an accounting start date is and why it is important to draw that “line in the sand” between your bank and your new Buildium software.
The most basic steps to learn how to properly reconcile your bank account with Buildium
If you’re just starting with Buildium, you can enter any unpaid bills or uncleared checks that you have as of your accounting start date. This will give you an accurate financial picture to move forward with.

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