Here’s how to reconcile the Purchase Ledger GANI account:
Run a Schedule for the GANI Control Account
- Navigate to Main Menu > Accounts > Nominal Ledger > Reports > Schedule Nominal.
- Select Nominal Code 0.0.70.8 and schedule by Purchase Ledger Account Number for a future date.
Generate a GANI List
- Go to Main Menu > Accounts > Purchase Ledger > GANI.
- Run the report for the same future date.
Compare Reports
- The reports should match in terms of totals and account balances.
- Correct any discrepancies by posting a nominal journal.
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