Indeed... using a control account in the wrong place is so hard to find.
Go day by day (AP TB, All vs GL account balance) to see when things went awry, then review the big $ postings on that day.
Also check the activity log for errors... that can mess up postings for sure.
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Kevin Moyes
Technical Systems Analyst
Munjal White Consulting Co.
Toronto ON
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Original Message:
Sent: 12-01-2021 14:08
From: Tara Schinkel
Subject: GL and AP Trial Balance discrepancy
The other thing I have seen people do is they posted something through AP – but they debited and credited AP (creating a wash out to the GL but effectively cleaning up the sub ledger at the same time). That can cause the outage in this case because AP on the GL side would not be impacted but what was done in the subledger and I'm not 100 sure if that would show up in the GL but I think would show up in AP, under GL reports there.
Original Message:
Sent: 12/1/2021 2:05:00 PM
From: alan niergarth
Subject: RE: GL and AP Trial Balance discrepancy
Low hanging fruit... make sure to run the GL Daily Transaction register from the GL module to ensure it didn't get skipped.
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alan niergarth
Velosio LLC
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