Client printed manual checks on Friday September 12, 2014.
Imported and posted the file into G/L.
This morning she went to clear checks and found the checks missing from the list of checks in the check reconciliation window.
She verified that the check is posted and showing in the vendor.
The check is also showing as being issued in the general ledger for the cash account.
Data integrity comes back clean.
This happened once before last year.
Any ideas why the checks would not be listed in the check reconciliation?
Thank you,
Joan