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Workday Bank Reconciliation Training
Glossary of Terms
Glossary of Workday Bank Reconciliation Terms
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Session 1 - Introduction to Cash Management and On Account Transactions
Session Video - Introduction to Cash Management and On Account Transactions (66:25)
Assignment
Quiz
Session 2 - Capital Expenditure and Asset Cash Flow Transactions
Session Video - Capital Expenditure and Asset Cash Flow Transactions (57:54)
Assignment
Quiz
Session 3 - Asset Acquisition Through Purchase Orders
Session Video - Asset Acquisition Through Purchase Orders (50:35)
Assignment
Quiz
Session 4 - Asset Registration and Placement in Service
Session Video - Asset Registration and Placement in Service (54:00)
Assignment
Quiz
Session 5 - Asset Adjustments, Impairment, and Transfers
Session Video - Asset Adjustments, Impairment, and Transfers (32:30)
Assignment
Quiz
Session 6 - Introduction to Bank Statements and Cash Activities
Session Video - Introduction to Bank Statements and Cash Activities (34:59)
Assignment
Quiz
Session 7 - Bank Accounts, Settlement Processes, and Touchpoints
Session Video - Bank Accounts, Settlement Processes, and Touchpoints (36:26)
Assignment
Quiz
Session 8 - Security Roles for Bank Reconciliation Activities
Session Video - Security Roles for Bank Reconciliation Activities (35:15)
Assignment
Quiz
Session 9 - Bank Statement Formats and Integration Options
Session Video - Bank Statement Formats and Integration Options (49:25)
Assignment
Quiz
Session 10 - Manual Bank Statement Creation and Transaction Entry
Session Video - Manual Bank Statement Creation and Transaction Entry (40:09)
Assignment
Quiz
Session 11 - Automatic Bank Reconciliation Setup and Matching Rules
Session Video - Automatic Bank Reconciliation Setup and Matching Rules (62:52)
Assignment
Quiz
Session 12 - Manual and Automatic Reconciliation Execution and Exceptions
Session Video - Manual and Automatic Reconciliation Execution and Exceptions (62:05)
Assignment
Quiz
Session 13 - First Notice Rules and Ad Hoc Bank Transactions
Session Video - First Notice Rules and Ad Hoc Bank Transactions (52:54)
Assignment
Quiz
Session 14 - Bank Reconciliation Reports, Dashboards, and Cash Pool
Session Video - Bank Reconciliation Reports, Dashboards, and Cash Pool (47:05)
Assignment
Quiz
Session 15 - Intraday Bank Statements, Transfers, and Final Reconciliation Review
Session Video - Intraday Bank Statements, Transfers, and Final Reconciliation Review (36:38)
Assignment
Additional Videos
Session Video - WD Introduction - Organization Structure - People Structure (68:24)
Session Video - Financial Structure - Workday Structure - P2P Vs S2P (59:15)
Session Video - Cash Outflow - Ad hoc payment (51:51)
Session Video - Bank - Bank Routing Rule - Bank Branch and Accounts (58:19)
Session Video - Supplier Payment - BRR - O2C (65:27)
Session Video - Cash inflow - Receipt Record deposit - Interest fees - Charges (57:28)
Session Video - Cash inflow Capital Expenditures - Asset (57:48)
Session Video - Overview, Bank Statement Type, Quick BS (57:09)
Session Video - Basic and Advance Steps (55:23)
Session Video - Record Bank Statement (43:02)
Session Video - Auto Bank Scenario, Reference, Agenda (71:09)
Session Video - Dashboards, Cash Pool, Cash Ratio, Cash Signatories (54:10)
Session Video - Auto Bank Reconciliation (68:25)
Session Video - First Notice Rule, Exchange Rate, Cross Rate, Inverse Rate (48:06)
Session Video - QA Session (37:11)
Assessments
Assessment - 2. Banking and Settlement
Assessment - 1. Bank Reconciliation
Assessment - 3. Business Asset Setup
Assessment - 4. Financial Reporting
Assignments
Assignment - 1. Bank Reconciliation
Assignment - 2. Banking and Settlement
Assignment - 3. Business Asset Setup
Assignment - 4. Financial Reporting
Lab Activity
Lab Activity - 1. Assign Security Role to Company
Lab Activity - 2. Records Bank Statement - Quick Entry
Lab Activity - 3. Create an Ad Hoc Bank Transaction
Lab Activity - 4. Cash to Bank Account Balanced Reconciliation
Lab Activity - 5. View Financial Institution
Lab Activity - 6. Create Bank Account
Lab Activity - 7. Create Bank Routing Rule
Lab Activity - 8. Assign Security Role To Company
Lab Activity - 9. Create Settlement Run
Lab Activity - 10. Print Check Task
Lab Activity - 11. View Settlement - Settlement Work Area (optional)
Lab Activity - 12. Create Ad Hoc Payment
Lab Activity - 13. Add Asset Books To Company
Lab Activity - 14. Maintain Depreciation Profiles
Lab Activity - 15. Maintain Spend Category
Lab Activity - 16. Maintain Asset Book Rules
Lab Activity - 17. Edit Posting Rule (Refresher)
Lab Activity - 18. View Workday Standard Reports
Lab Activity - 19. Run the Trial Balance
Lab Activity - 20. Run Activity Report
Lab Activity - 21. Create a Simple Report
Lab Activity - 22. View Manager Metrics
Additional Assignments
Assignment - Bank Reconciliation
Assignment - Banking and Settlement
Assignment - Business Asset Setup
Assignment - Financial Reporting
Additional Assessment
Assessment - Bank Reconciliation
Assessment - Banking and Settlement
Assessment - Business Asset Setup
Assessment - Financial Reporting
Additional Lab Activity - Set 1
Lab Activity - Cash to Bank Account Balanced Reconciliation
Lab Activity - Create an Ad Hoc Bank Transaction
Lab Activity - Records Bank Statement - Quick Entry
Lab Activity - Security Role to Company
Lab Activity - Assign Security Role To Company
Lab Activity - Create Ad Hoc Payment
Lab Activity - Create Bank Account
Lab Activity - Create Bank Routing Rule
Lab Activity - Create Settlement Run
Additional Lab Activity - Set 2
Lab Activity - Print Check Task
Lab Activity - View Financial Institution
Lab Activity - View Settlement - Settlement Work Area (optional)
Lab Activity - Add Asset Books To Company
Lab Activity - Edit Posting Rule (Refresher)
Lab Activity - Maintain Asset Book Rules
Lab Activity - Maintain Depreciation Profiles
Lab Activity - Maintain Spend Category
Lab Activity - Create a Simple Report
Lab Activity - Run Activity Report
Lab Activity - Run the Trial Balance
Lab Activity - View Manager Metrics
Lab Activity - View Workday Standard Reports
Interview Questions (55 Questions)
Interview Questions & Answers - Workday Bank Reconciliation
Capstone Projects / Case Studies
Capstone Project - 2. End‑to‑End Cash Positioning and Reconciliation
Capstone Project - 1. Corporate Payments, AP Integration, and Bank Reconciliation
Capstone Project - 3. Exception‑Heavy Month‑End Bank Reconciliation Close
Capstone Project - 4. High‑Volume Retail E‑Commerce Cash Reconciliation
Capstone Project - 5. Multi‑Bank Daily Statement Automation
Sample Resumes
Sample Resume - Fresher Workday Bank Reconciliation Consultant
Sample Resume - Mid-Level Professional Workday Bank Reconciliation Consultant (4+ Years Experience)
Sample Resume - Senior Experienced Workday Bank Reconciliation (10+ Years Experience)
Interview Questions
Interview Questions - Set 2
Interview Questions - Set 1
Interview Questions - Set 3
Interview Questions - Set 4
Interview Questions - Set 5
Prepare your LinkedIn profile
LinkedIn Cheat Sheet
Prepare your Resume
Resume Cheat Sheet
Final Quiz
Test your Knowledge
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