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.
*Community Hub is the new name for Sage City