ATTENTION: Your Journal FILE IS UNBALANCED message

When this message appears go to 

Accounting >Utilities>G/L Utilities>Journal Summary

This will give you a daily debit credit where you can find the day it went out

Search journal for that day to find the transaction.  


Accounting >Utilities >G/L Utilities >Add/Edit/View Journal 
Click on the Insert insert.gif and make the one sided entry to correct the balance.

Was this article helpful?
0 out of 0 found this helpful
Have more questions? Submit a request

Comments

0 comments

Article is closed for comments.