Translations:Monthly closing reconciliation/97/en
From Marathon Documentation
Sales ledger
Reconciliation
- Print out balance list per reconciliation date in Accounting | Reports, Sales ledger tab. Check the total amount and compare with the balance on the trade debtor’s account.
In case of discrepancy:
- Print out the list Reconciliation to GL in Accounting | Reports, Sales ledger tab to see what day the discrepancy occurred.
- Print the list again and select only on the day that the discrepancy occurred, untick the box “Only Summary”.
- Check the bookings in the account specification in Accounting | Reports, General ledger tab and check if there are any bookings that lack assignment code in the Type column.
- Finally check all invoices in the sales ledger and compare with the invoice amount in the bookkeeping.