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The manual matching process allows the creation of a journal entry to clear small open items when the MTC parameter and automatic variances are setup. This process is working, where I can manually match a payment and invoice where the variance is under…
Good afternoon.
With the need of one of my clients on posting inter-company journal entry.
During post inter-company journal entry, "inter-company NA10 / NA011" or "Inter-company NA10 " will display on the description field of counterpart of the transaction…
How do you handle manual checks if they are processed within the same bank account as system checks? Here's scenario:
Manual checks range is 1000-1500
System Checks 5000-5999; These range is set under checkbook.
Sage EM does not allow for two…
The system currently stops us from closing a period do the following two errors.
There is still some subcontract in process that needs to be posted.
Some stock movements still need to be posted.
Once we identify the entries how can we not close…
I am running into an issue where the supplier invoice is not posting. When I hit the post button I get the following
Linked Account for Inter-site is not defined for site. I have other invoices that were posted.