Complete this process in Training or Test and verify before making any updates in Live.Review GL accounts assigned on Bank Codes > Bank Account records to confirm that a GL account is on more than one Bank Account record. After the journal is posted, the create items is run in order for the item(s) to pull into a Bank Reconciliation record. If the journal doesn't show under the correct Bank code complete these steps: - MUNIS > Financials > Cash Management > Bank Reconciliation > Bank Reconciliation > Adj / Dep Recon > Mass Delete, use Mass Delete to remove the items from the original bank code and Create items on the correct Bank code/Bank account. (complete this process in training and verify that it will work before making any changes in Live)
2. Than complete Complete the create items process again using the correct Bank code/bank account. From the Bank Reconciliation screen: - select the Adj/Dep Recon option in the ribbon
- select Create Items and Accept
- A Munis popup for reviewing transactions will appear, select Yes to create items
- Once Items are created, hit Continue and Return back to the Reconciliation record
- Select the Recalculate option in the ribbon and the reconciliation amounts should update
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