Bank Reconciliation - Beginning Balance Changed from Ending Balance of Previous Month

SOLVED

Hello everyone,

I am trying to reconcile one of our accounts in Sage 100 and when I am in the Reconcile Bank feature, it shows that there is zero difference, but when I printed the report it said that I was off. I have identified that it was the beginning balances are different from the bank statement and the bank recon by looking at the bank recap report; however, when I looked at the previous reconciliation for this account the ending balance matches the beginning balances of the bank statement. I am not sure how it was changed. How can I fix it so that the beginning balances match again so I can reconcile?

Thanks in advance!

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  • 0 in reply to Kevin M

    Do you know how the "blank" bank code happens?? I had one appear and i can not delete it but i don't even know how it appeared. I have have the same issue as above but because of the "blank" bank code i can not run this fix, but i also can't remove the offending code. So very lost on what to do next.

  • 0 in reply to Lisa Hazlett

    There is no known cause that I am aware of... it just happens occasionally.    (If anyone knows a way to do this purposefully, please share!).

    You need to use a raw data editing tool (DFDM) to delete the blank row.  Ask whoever administers your Sage 100 for assistance, if you don't know what that means.