How do I change how accpac calculates info on W-2? The report which shows total earnings for any particular employee has different totals from the W-2. How do I rectify?
How do i get the book balance to reflect the G/L? Background info: Previous month is ok. All entries in G/L for current month have been entered via payables, recivables, and bank entries. However the printed Bank reconciliation is different from the one i see in the bank rec module prior to...
After preparing and approving form 941 in ACCPAC, our auditor has said it needs to be amended. It does not seem like this can be done once approved. Any suggestions would be welcomed
I finally figured it out. i had to do the reversal in bank services to have teh invoice reopened. I was reversing the G/L batch instead of reversing the check.
I reversed a payment in accpac, and although I see the entry in the G/L account, I am not seeing the invoice reinstatement in the vendor account. Help please.
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