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Microsoft Dynamics SL (Archived)

AP Batch Posted to Wrong Cash Account in General Ledger.

Posted on by Microsoft Employee

An AP Batch to the wrong cash account. The bank statement is not affected as the funds subtracted from the correct bank account. What is affected is the general ledger and cash manager. How do I correct the general ledger for both cash accounts?

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  • Community Member Profile Picture
    Community Member Microsoft Employee on at
    RE: AP Batch Posted to Wrong Cash Account in General Ledger.

    You can make a GL JE to fix the GL and a Cash Acct Transaction to fix the CA.

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