I am trying to reconcile the Bank Reconciliation to the GL and they are not matching b/c of a few voided transactions. The voids are showing up in the GL, but not on the bank reconciliation. I belive these voids had incorrect void dates and the actual date of the transaction was used. The bank reconciliation has already been reconciled, but does not tie to GL.
Is there a way to fix this? Can you not void a transaction that is in a reconciled period?
Please help!
Holly
Is there a way to fix this? Can you not void a transaction that is in a reconciled period?
Please help!
Holly