Does anyone have a month-end procedure that they follow in Sage 300? Reconciling accounts payable to the balance sheet, etc? I'm looking for something to have everyone follow to ensure that everything is entered correctly.
There appears to be no automated process to moving the status of subcontracts along (as there is with POs - automatically closing once fulfilled).
Is this true? What is the advantage to moving the status to closed and then complete, as long as the remaining…
Hello - I was asked by an auditor if my team can post an AP invoice to a previously closed period. in Sage 500. Always assumed 'no', but an AP staff member was able to post to a prior period once they 'accepted' the 'posting to a prior period' warning…