There are differences between TB in General Ledger (Account Balance) and Posted transactions in the project, and after some investigation,
I noticed that the variance exactly came from released retention; it affected the posted transactions !
Here's a step-by-step:
Create an Invoice from PO: Start by creating an invoice for $100 with a retention amount of $5. This means the posted transaction will show $100 initially.
Post the Invoice: Post the invoice to the ledger. At this point, the trial balance (TB) will reflect the $100 as part of the project's cost.
Release the Retention: When you release the retention amount of $5, it will create a new transaction that affects the posted transaction as a new line = $5 !
Kind Regards.
André Arnaud de Cal... 291,703 Super User 2024 Season 2
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