When I run a CM Summary report the difference between several cash accounts in CM and the corresponding accounts in GL are out of balance substantially. I have no idea how to even begin to find what the problem is. Help is appreciated.
When I run a CM Summary report the difference between several cash accounts in CM and the corresponding accounts in GL are out of balance substantially. I have no idea how to even begin to find what the problem is. Help is appreciated.
In the Sage Knowledgebase, look up Article 19197.
In the Sage Knowledgebase, look up Article 19197.
*Community Hub is the new name for Sage City