Transactions out of balance Partner v14

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  • lushern1309
    Junior Member
    • Sep 2016
    • 17

    #1

    [Question] Transactions out of balance Partner v14

    Hi all. Could someone please explain to me how "Transactions out of balance per period per entry type for this year" occurs and what is the best way to rectify. will fixes be the best solution or manual entries through PCC? Thank You.
  • CuriousEL
    Full Member
    • Oct 2014
    • 28

    #2
    Hi. Did you find out a way to rectify it? I have the same problem

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    • brighton
      New Member
      • Oct 2016
      • 2

      #3
      Can you try out the File, Data integrity and follow-up the prompts.
      Close Pastel and restart it again and check if you still have the out of balance per period.

      Sometimes it happens when you are processing the cash book and you have selected more than one period on one batch. Not sure if this is what you might have done.

      Comment

      • lushern1309
        Junior Member
        • Sep 2016
        • 17

        #4
        howzit, the data integrity assistant will not fix tb out of balance or transactions out of balance, it only gives you a report on whats out of balance or incorrect, you then have to either uses Fixes or PCC to rectify, and also multiple periods in one cash book batch will not harm the system, thanks for your suggestion tho

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        • Neville Bailey
          Diamond Member

          • Nov 2010
          • 2786

          #5
          I can assist with this problem.

          It will involve a data fix and I have the tools to do it.

          If you would like me to assist, please send me an email and we can take it from there.
          Neville Bailey - Sage Pastel Accounting Consultant
          www.accountingsoftwaresupport.co.za
          neville@accountingsoftwaresupport.co.za
          IronTree Online Solutions

          "Give every person more in use value than you take from them in cash value."
          WALLACE WATTLES (1860-1911)

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