Ran UT-K-D. Now BalSheet = GL totals but BalSheet does not reconcile to several control reports it matched to previously.
The problem seems connected to the 3 deposits missing from GL-C. We have also discovered that NO transactions are recorded as entered and posted on that particular day - which never happens. We always have labor, material issues, invoicing entered and posted the same day and the activity is confirmed by the corresponding nonGL reports.
A few transactions are posted for that date but were entered on the next business day or later.
We checked all logs - Pervasive etc. and found no issues. There were/are no other indictions of system malfunction.
Any more thoughts on what to do next? ???