Reconcile the AP Aging Schedule report to the AP GL account

You may need to reconcile AP aging information to the year-to-date AP GL account balance. To do this, generate the Aging Schedule report and the General Ledger report using the following settings.

Aging Schedule report

Option
Setting
Date
All
As of date
<current period end date>
Discount treatment
Gross
Aging basis
<your preference>
Period definition
<your preference>

General Ledger report

Option
Setting
Date
Current period
Regions to include
<your preference>
Sections to include
<your preference>
Accounting method
Accrual basis (or Client basis if the client is set up as accrual in the
Clients
screen)
Journal entry format
<your preference>
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