Tek-Tips is the largest IT community on the Internet today!

Members share and learn making Tek-Tips Forums the best source of peer-reviewed technical information on the Internet!

  • Congratulations bkrike on being selected by the Tek-Tips community for having the most helpful posts in the forums last week. Way to Go!

Which Table to use after posting AR Invoice

Status
Not open for further replies.

ZABARVAN

IS-IT--Management
May 24, 2003
186
SA
We are using ACCPAC 6, we need to reconcile between GL and AR. which table should we use to get AR Invoice amount after posting. We can use posting sequence as a parameter or filter on transaction date.
Will appreciate help.

Zab
 
Why are you doing this at all? Reconciling is easy, you don't need any custom reports.
 
Their are lot of entries, any easy steps to do reconcilation. between GL and AR. Which Tables and Fileds can we target so that we can quickly do it. Appreciate your help.
 
Thanks for your help, can we link posting sequence of AR with GL which table...
 
This way we will print report from AR only, we need to check which entry from AR has gone to GL, some times a users deletes a subledger entry in GL batch that is why our GL and AR does not match. We have to check those entries which are missing in GL.

Thanks for your time.
Zab
 
Change your GL integration settings to Autopost all subledger batches, then your problem is solved.
 
Yes... but that will be in future, now our auditors are asking why GL and AR have miss matched figures. any way out....
 
Keep in mind that if you post a GL batch and it results in an error batch, Accpac doesn't go back to the AR Posting Journal tables to update the GLBATCH and GLENTRY fields to match the re-created batch.
 
Status
Not open for further replies.

Part and Inventory Search

Sponsor

Back
Top