My new error is:
'Could not post [ACCT] reconciliation because a Bank Check detail has a blank G/L account'
Accounting doesn't know what to do with this one either.
Hopefully, I didn't create the problem by trying to clear checks. After I was given help here, I started clearing them by setting SRCEAPP to 'BK'. Before that I was setting SWCHKCLRD to 0.
Does anybody know how to track down this error?
Tangential question: I looked at Sage University but it looks like everything is geared toward end user knowledge -- and for a newer version of the product.
Where can I get some training on the inner workings of this beast?
'Could not post [ACCT] reconciliation because a Bank Check detail has a blank G/L account'
Accounting doesn't know what to do with this one either.
Hopefully, I didn't create the problem by trying to clear checks. After I was given help here, I started clearing them by setting SRCEAPP to 'BK'. Before that I was setting SWCHKCLRD to 0.
Does anybody know how to track down this error?
Tangential question: I looked at Sage University but it looks like everything is geared toward end user knowledge -- and for a newer version of the product.
Where can I get some training on the inner workings of this beast?