Last February 2011, a batch of checks were posted in error to February 2012.
No issues until running the Check Reconciliation Report for Feb 2012. The checks that happened to be voided from that run are showing up on the report. The status shows V for void, but check amount is showing as outstanding.
Will this just go away when I run March 2012?
The original February 2011 check rec report listed the checks on one line and the void on the next. I thought all would be fine.
So if anyone could just let me know, I'd appreciate it.
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