Hi Vickie,
If you don't want the accounts validated, then you can move the general ledger data into another subdirectory. Make sure when you do this that you make any changes to your backup procedures that are necessary. Also, you will now have to explicitly look for the general ledger transactions when you select the "retrieve" function, and the finder for the accounts will not be available in Adagio Payables.
Are you really adding new accounts (which would probably brak your fincial statements, or are you simply coding an expense to an account-department pair that does not exist (although the account itself does exist)?
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Andrew Bates