I'm having trouble finding checks in Bank services and noticed that most of the missing ones have BKCHK.STATUS = 4. I found this list of status codes online:
2 = Void
3 = Outstanding
9 = Printed
10 = Posting error
The number four doesn't show up here but it does show up in this list for RECSUGGEST:
1 = Alignment
2 = Void
3 = Outstanding
4 = Reversed
5 = Cleared
6 = Cleared with bank error
7 = Non-negotiable
8 = Continuation
9 = Printed
10 = Posting error
11 = Cleared with write-off
What does the status "4" mean in this situation? If it means reversed, as suggested by the second list, I have a bit of an issue because I can't find any reversal batches that would have created that situation. Also, my review of the GL account shows that the checks did post correctly to the bank's GL account.
What can I do to make those checks appear in Bank Services so that I can clear them and reconcile the statement? None of my October checks appear in Bank Services (all of the withdrawals, however, are listed). Some of the missing checks have status = 3 which calls my original theory that the status code is what created the issue into question but I'm still a bit lost as to how to bring these checks back to the reconciliation module.
Please help! Thanks in advance!
2 = Void
3 = Outstanding
9 = Printed
10 = Posting error
The number four doesn't show up here but it does show up in this list for RECSUGGEST:
1 = Alignment
2 = Void
3 = Outstanding
4 = Reversed
5 = Cleared
6 = Cleared with bank error
7 = Non-negotiable
8 = Continuation
9 = Printed
10 = Posting error
11 = Cleared with write-off
What does the status "4" mean in this situation? If it means reversed, as suggested by the second list, I have a bit of an issue because I can't find any reversal batches that would have created that situation. Also, my review of the GL account shows that the checks did post correctly to the bank's GL account.
What can I do to make those checks appear in Bank Services so that I can clear them and reconcile the statement? None of my October checks appear in Bank Services (all of the withdrawals, however, are listed). Some of the missing checks have status = 3 which calls my original theory that the status code is what created the issue into question but I'm still a bit lost as to how to bring these checks back to the reconciliation module.
Please help! Thanks in advance!