Variances between control accounts and Payable/Receivable Report

What is the real cause of the differences between the Control Account in GL and Payable/Receivable report. This is a serious issue we are always having in the system. many times our external auditor complained about this issues between the control account and subledger report not agreeing.

it is a rule that when capturing the invoice both the document date and posting date must be the same. 

What is really causing the difference between the two report?

thanks

Parents
  • 0

    There could be various reasons

    1/ GL Batches not posted

    2/ GL Batches deleted from AP or AR

    3/ GL Journals entered directly to the payables or receivables accounts

    4/ Timing as you indicated if document dates and posting dates altered

    5/ opening balances never balancing

    You should reconcile these monthly then you will immediately know the cause.

    The best way to resolve unfortunately is after checking the above you may need to go back to the period that last reconciled and work forward ticking and flicking the gl to the AP/AR as you go to identify the issue.

    Good Luck

    Stacey

Reply
  • 0

    There could be various reasons

    1/ GL Batches not posted

    2/ GL Batches deleted from AP or AR

    3/ GL Journals entered directly to the payables or receivables accounts

    4/ Timing as you indicated if document dates and posting dates altered

    5/ opening balances never balancing

    You should reconcile these monthly then you will immediately know the cause.

    The best way to resolve unfortunately is after checking the above you may need to go back to the period that last reconciled and work forward ticking and flicking the gl to the AP/AR as you go to identify the issue.

    Good Luck

    Stacey

Children