Having a frustrating time with a VI for a transaction JE. Client wants to import ACH deposits instead of keying. Over a week, they have hundreds of direct deposits to their account. They currently do TJE's so that EACH deposit appears in BR, but but manual entry allows them to consolidate all the deposits into one JE.
They send me a sample import file and I created an import that works exactly as desired. 100's of deposit, five TJE's for the week. I use the VI NEXT function to detect a change date column (import file is sorted by date). Perfect.
Works great for me, not for them. They get a TJE for every deposit. What is different? I am v2021, they are v2020. I test in v2020. Works for me.
I rekey the entire VI on their v2020 system. Nope.
They are v2020 PU 4, I am PU2. Import file is tab delimited TXT.
Thoughts?
TIA
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Jeff Schwenk
Bottomline Software, Inc.
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