• Bank Transaction Posting resulted in GL imbalance

    I have posted a standard CM Check transaction and when I went to reconcile the bank account, the amount showed up in my DEBIT column (as though I had made a deposit instead of a CM Check). Looking at the G/L detail for the batch, the system recorded improperly…
  • Accounts receivable in different currency

    Hi How can i enter a payment in US $ and the invoice in is Canadian $ in process cash receipts? Its giving me an error in posting. Thank you.
  • Bank Account Currency

    A bank account was created with the wrong currency and needs to be changed - is there a way to do this?