Sage Timeslips rebuilds Accounts Receivable balances using Data Verification tools for a selected client. This process repairs balance discrepancies after transaction issues affect Sage Timeslips data.
Follow these steps to rebuild Accounts Receivable balances for a client:
Preparation
- Create a current backup of the Sage Timeslips database.
- Undo the last bill for the affected client.
- Delete all unbilled Accounts Receivable transactions for that client.
NOTE:
Add notes to each transaction for accurate re-entry later.
Rebuild balances
- Go to File, Data Verification.
- Select Check Accounts Receivable Balances.
- Click Select client, then choose the client with the incorrect balance.
- Select Automatically repair any errors found.
- Click OK.
- Click Yes on the Do you want to start rebuilding balances? dialog.
- Click No on the Do you want to make a backup? dialog.
- Click Close.
Finalization
- Re-enter the Accounts Receivable transactions deleted earlier
- Solution ID
- 225924350084363
- Last Modified Date
- Mon Apr 20 20:43:37 UTC 2026
- Views
- 0