I ran AP data integrity (with fix minor errors selected) and got the following error. Balance due XXXXX is not equal to sum of open documents for vendor XXXX. How to I go about correcting this situation? I am on ACCPAC 54A 200, AP UP2, MS SQL SERVER 2005 SP2.
On reversing miscellaneous cheques from bank services, the resulting Gl batches have the functional amounts and the source amounts swapped. This also causes the system to create an additional entry to the gain or loss account. Is there a service pack to fix this? Am running on Accpac 54A 200...
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