• A/R Deposit combining two separate batches

    Hi all. Something weird happened to two of my A/R batches this morning. Two separate batches combined into one deposit number. Has anyone ever had this happen before? I am wondering if somewhere in Sage there is a way to combine separate batches into…
  • Bank Reconciliation issue

    Hi, As a user of Sage 300 v2016 PU2 we have the following error "An error has occurred during the processing of Check Reconciliation. The error returned was 1. Process error." while posting Bank Reconciliation. Data error. Check 0 for BK XX was…
  • How to apply an over-payment to an AR invoice?

    I am trying to apply a payment in AR receipts that over pays an invoice and I want the over-payment amount left in the customer account to reference the invoice number. Is there a way to do this in Sage 300 (version 2016)? thanks
  • Bank reconciliation question with incorrect point of sale amounts

    Currently trying to complete a bank reconciliation for a past month. We have a point of sale system which posts incorrect amounts to Sage daily. These have been corrected in the GL to the appropriate accounts, but the bank reconciliation numbers still…
  • Check deposits are not in Bank reconciliation but it is inDeposit Register

    Hi, I have posted deposits in AR module. I have a difficulty reconciling that amounts in Bank Reconciliation. I have received all the cash deposits in bank reconciliation but all check deposit i posted in AR and Ar receipts are not in Bank reconciliation…
  • Deposits in Bank Reconciliation

    Good Afternoon...I have questions about deposits in Bank reconciliation. When I try to start to enter the reconcilliations for one of my checking accounts, I end up needing to go to bank entry and making a deposit or credit...but bank entry defaults to…