What to do when old transactions appear.
- Bank reconciliation entries are based on journal entries and not the cheque or transaction number
- If you do a correction, then the system takes the next available journal number as the reversal
- Then it reposts the next journal number as the entry
- The original entry and the reversal will be automatically cleared on the bank rec
- The next journal posting (original transaction) will not be cleared
- Look in the Reports, Banking, Account Reconciliation Report....
- Use the Report Type, Summary Report with Outstanding Transaction Details.
- If there is a ' * ' after any outstanding transactions, then they were posted and/or corrected after the month was reconciled.
- Reset the bank rec.
- Solution ID
- 223924350032447
- Last Modified Date
- Mon Nov 21 17:54:25 UTC 2022
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