Description |
This issue relates to i21 Help Desk ticket. Click the link below to go to Help Desk ticket.
[HDTN-234323 - The Open Clearing report total does not match our open clearing general ledger balance|https://helpdesk.irely.com/iRelyi21live//#/HD/Ticket/?ticket=HDTN-234323]
Check in Webster TE Company
Live is also out of balance, but by .05 in 01, vs by 149,541.37 in TE
*Steps* :
1. Go to GL > GL Account Detail > Open Clearing Account (200100-02-000)
2. Filter by As of 7/31/2019
3. Go to AP > Open Clearing Detail Report
4. Filter by Post Date as of 7/31/2019 > Generate
5. Compare GL balance and report clearing amount
*Issue* :
GL ( AP Clearing) and Open Clearing report do not match
*Accepted* :
Open Clearing/Open Clearing Detail reports are not balancing to the G/L. These should always balance.
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