Quantcast
Channel: Microsoft Dynamics SL
Viewing all articles
Browse latest Browse all 7845

Forum Post: RE: CA BANK RECONCILIATION

$
0
0
[quote user="MMaafs"] We have two cash transactions that are released and posted in GL but these transactions are not shown on the Bank Reconciliation screen. Both of these transaction are not cleared on the Cash Transaction screen. The transactions appear on the Daily Cash Balances screen and report. Any ideas on why is this happening and how can I solve this problema? [/quote] We have experienced this same issue and there were two different causes. The most common is the in the Bank Reconciliation screen, the third column titled Reconciliation Date, was not updated to today's date, therefore transactions with a date subsequent to the reconciliation date do not appear in the outstanding check list. Hopefully this solves your issue because the second cause is far more difficult. In the second scenario, the cash transaction was posted to the database with the cleared field empty rather than an O or a C. The O or C will determine if it shows up as a cleared item in the bank rec or an outstanding item. If it is null, it does not show up in either. You cannot fix this, you will need intervention form Microsoft SL support. They are aware of this issue and supposedly fixed it a few years ago. We did find that by not selecting the "post by batch", the problem has not reoccurred.

Viewing all articles
Browse latest Browse all 7845

Trending Articles



<script src="https://jsc.adskeeper.com/r/s/rssing.com.1596347.js" async> </script>