Laura D. Oliver
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Thanks Lynn, I will try that. I have also determined that this is tied to the YE entries. Because these transactions were not in BKGLTRAN-B. when I ran AM-B, these amounts were not zeroed out with a YE transaction .....do you have any idea what boneheaded thing I could have done to cause this? XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX Here are my notes for the archives....they might serve as key word for someone doing a search about this in the future.....like me. I wrote checks on 5/19/2009 totalling $5761.45. The checks were accurately recorded in AP-R. All were entered as vouchers thru AP-B. All vouchers are still found thru AP-B. However I can not find these transactions in BKGLTRAN-B, but they are found in BLGLCHK-B. Because these transactions were not in BKGLTRAN-B. when I ran AM-B, these amounts were not zeroed out. The problem is that since these are not in BKGLTRANS –B, That also means they are not in my General Journals or Detail trial balances. But they have reduced my checking account balance. However while the transaction did not get transferred to the expense account it did make it to the income statement. The Income statement does reflect these transactions as expenses. Even though these expenses do no show up on the detail trial balance or journal they did correctly effect the balance sheet and the income statement. The problem is that since these are not in BKGLTRANS –B, That also means they are not in my General Journals or Detail trial balances. But they have reduced my checking account balance. The detail trial ending balance of my checking is 17,064.46 The balance sheet checking account is $12,479.89 off $4584.57 The detail trial ending balance of my VISA acct is 89,753.31 The balance sheet Visa account is $88,576.43 off 1176.88. $4584.57 + 1176.88. = $5,761.45 the exact amount of the 5/14/2009 checks I could recreate the transactions in BKGLTRAN-B., No Lynn just suggested UT-A, program EDITGL
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