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Microsoft Dynamics GP (Archived)

GP 2010 Bank Reconciliation Posting Journal

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Posted on by Microsoft Employee

If we do a bank reconciliation usding a cutoff date  different from the bnak statement date then the amount for Outstanding Checks shown and used on the Reconciliatuion Posting Journal is different than the total of the payments in the Outstanding Transactions Report for that reconciliation.  Why?  What makes up the difference?

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