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Journal Entry (GCR, CRP or GEN) was posted to the cash account but is not displaying in Bank Reconciliation GL Account is assigned to more than one Bank Account record and Create items processed for a different Bank Account |
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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:
2. Complete the create items process again using the correct Bank code/bank account. From the Bank Reconciliation screen: select the
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Ideally a General Ledger account should only be tied to one Bank Code/Bank Account combination in Munis. |
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