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  • Where to find Journal Entry Balances

    Hello Sage Community, I am currently working on an integration project to post transactions into my Sage 300 ERP database via an API. While posting transactions directly from the Sage 300 ERP interface to the GL as a journal entry, everything works correctly…
  • Issue sending AP/AR Adjustments using SAGE300WebAPI calls ARReceiptAndAdjustmentBatches/APPaymentAndAdjustmentBatches

    I'm sending adjustments to Sage 300 ERP Server for 'posted' invoices and I know that the transaction are successful because the webapi call returns a reponse code is 201 and the response message contains the information I sent but when I open the adjustment…