Posting Control Journals to Clear Reconciliation Imbalances

Modified on Thu, 26 Sep at 4:13 PM

When a journal is posted and scheduled incorrectly by stock number, it will appear as a separate line on the reconciliation report. One of the most common errors is omitting the branch number in the stock number reference.



To resolve this issue, you will need to post a contra journal. Using the following example, we’ll outline how to correctly post the contra journal to clear the imbalance (please note the Stock No column)



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