Summary
How to locate discrepancies when Accounts Receivable doesn't reconcile to General Ledger in Sage 300 CRE.
Description
Cause
Resolution
Follow the outlined steps in order.
Start the reconciliation process
Determine if you’re out of balance before following the steps below.
Verify everything posted in AR and GL
Post entries for Accounts Receivable and General Ledger.
Check for entries from other applications
Check for entries originated in an application other than Accounts Receivable, Billings, or Service Management.
Overbilled retainage
Correct any overbilled retainage.
Aging Report includes Customer Cash Receipts
- Verify if the Customer Cash Receipts account is the same as your receivables account. Check this in AR Settings, GL Settings, Balance Sheet Accounts.
- If it isn't, add a condition to the aging report. Use the condition of Cash Receipt Type NE to Customer Cash Receipt.
- Reconcile your customer cash receipt account.
Batches missing from General Ledger or Accounts Receivable
- Accounts Receivable and General Ledger are out of balance due to missing batches.
- AR Batch Reconciliation doesn't match the GL Reports when you use Service Management.
Entries posted to the wrong GL account
Correct entries posted to the wrong account.