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Microsoft Dynamics GP (Archived)

Wrong check book ID

Posted on by 35

Our company has two Check Book ID: CAD and USD.

I have posted a USD cash receipt into correct GL account, but assigning  wrong check book ID. Now, this amount is in the right GL account but in the wrong Check Book.

Now I try to do bank reconciliation for the USD account. How can I bring the amount into the USD check book?  

Thank you!

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