Hmmm. I've looked further into this. Let me give a bit of background on this entry. We pay our AMEX each month through BR. A few of the entries must also clear AP. Usually we would end up making two batches, one for the batch to clear through BR and the other to clear the AP part. In this case, we tried a small experiment of running it all through BR, and we had hoped the part that needed to be retrieved to AP would do so. We used the vendor number, which we have done in the past, with great success. This time, no go. Not sure why it did not work. The print out for this batch does have a Note on each of the AP transactions which says "**AP Vendor transactions only update accounts for Cash and A/P Clearing" Not sure what that means, but it is not good news, right?
We now have our AP clearing account out of balance, as well as none of the AP accounts updated. I guess we will have to do the AP side, but not let it retrieve to BR, only to AP clearing?
Odd that it would not have worked. The integration in BR Company Profile was not touched. It is turned on, and always has been. Any ideas?
Thanks very much!