/
Failed to validate Items
Failed to validate Items
Description of Issue
When processing a payment, the user gets the error Failed to validate items
Context
- Cashiering
- Munis
Cause
As the month rolls over, sites need to update their General Ledger Settings to have items verify successfully.
Resolution
- Navigate to Munis Hub > Financials > General Ledger Menu > Miscellaneous Set Up > Journal Number Control
- Take note of what period lines up with the current dates.
- Navigate to Munis Hub > Financials > General Ledger Menu > End of Period > Roll Accounting Period
- Update Default Year/Period and Accept
Additional Information
, multiple selections available,
Related content
Error, updating bank items incomplete, status -6372 when clearing items for Bank Reconciliation
Error, updating bank items incomplete, status -6372 when clearing items for Bank Reconciliation
More like this
Payment Entry Workflow error
Payment Entry Workflow error
More like this
Transfer of Overpayments Journal Proof Report Posting Error
Transfer of Overpayments Journal Proof Report Posting Error
More like this
Unable to locate cash account in deposit array
Unable to locate cash account in deposit array
More like this
Payment Entry - The Entry Date Must Be Between mmddyyyy and mmddyyyy
Payment Entry - The Entry Date Must Be Between mmddyyyy and mmddyyyy
More like this
Misc Cash Header amount and total GL amount are out of balance
Misc Cash Header amount and total GL amount are out of balance
More like this