We have 23 posting errors that is preventing us to move forward with our accounting. I have looked through the manuals, online through google and bing, and I cannot find a solution to posting these batches.
There is no out of balance amounts. I have not closed last fiscal, as I am awaiting our Audit to be complete, and these errors are in next year batches.
Last month I asked my AP, what the clearing accounts were, and she did not know, so we created banks in AP directing them to the g/l. We discovered the double payments and entries being posted to the g/l banks through AP & BR. So we quit using those accounts and continued to use the clearing account. I entered budget data for this fiscal (our y/e being Mar 31). I also, deactivated the departments we will not use this fiscal to prevent accounting errors.
Can you help?
Jaqlynn