• check cashed twice

    I'm reconciling one month and my worker cashes checks by phone. So while doing this they had check lying around and cashed again so i cant reconcile that amount since that check was already cashed and bank cashed the check a second time again only to…
  • Bank Matching not working

    so I cannot import my bank transactions for my bank account anymore. it works with my credit card suddenly there are two options for the bank account now since the 2024.0 update one doesnt do anything, if I select the other bank account a warnign…
  • Integrity Summary inconsistencies A/R Prepayment account, Vacation pay, and Deposit Acct.

    Hi there, Our sage has multiple data inconsistencies due to high turnover in the office and having office staff attempt the bookkeeping. Due to this, i'd assume many incorrect entries have been made to cause so many inconsistencies. TOTAL DEBITS Data…
  • Opening Balance

    I am starting a new fiscal year and my opening balance is incorrect but I cannot go back to the previous year. How do i fix my opening balance to be the correct on. The previous bookkeeper closed the previous year without reconciling the accounts. So…
  • The transaction details disappeared before matching

    Can anybody tell me how to fix this problem? I appreciate it very much.
  • Credit Car Payment

    Hello, I accidentally posted the same payment to my Credit Card twice. How to I go about reversing one of the payments? Thank you.
  • Paypal income

    Hi there! I would appreciate some advice, please... I have linked my Paypal account to Sage and it has all the transactions itemised. It shows the gross income, before fees, but not what I have actually received, net. I have been raising a "quick entry…
  • Correct a Reconciled Transactions

    I didn't enter some invoices from a vendor, but posted a lumpsum payment. Since I missed invoices, that payment was used to to pay the wrong invoices. I now need to enter the missed invoices and use the payment correctly. Can this be done without undoing…
  • Unbalanced Mastercard reconciliation

    I completed the mastercard reconciliation last month and I am certain it balanced but this month it is out by an amount that I made the correction on and i can't find the transaction anywhere to clear or reverse. What can i try?
  • reversing bank charges from bank reconciliation

    I have posted bank charges in expenses tab in account reconciliation as of Oct 31. After year-end adjustments, my accountant asked me to move it for next year. For some reason this transaction was not showing up to him. How can I move it to November so…
  • bank reconciliation current month transation showing as outstanding matched beyond end date

    Nov 30 entires for Nov month, showing matched beyond the date. and there is unresolved. not able to manual clear/match
  • Unable to Match Receipts with Rolled up Deposits

    Hello, Using Sage 50 Premium Accounting (Release 2021.1). I have currently started using the MATCHING TRANSATIONS module. We currently perform a lump sum deposit weekly. Then clear the outstanding invoices in the RECEIPTS module a few days later…
  • Reversed and adjusted entries showed as outstanding in Bank reconciliation

    Reversed and adjusted entries showed as outstanding in Bank reconciliation. Selected "do not show corrections" doesn't hide those entries. The amount of those entries were added to the "Unresolved" had to manually click to make them "cleared" one…
  • Negative Unresolved credit card statement from previous fical year adjustment

    Hi there, When reconciling my credit card statement, I have a negative unresolved amount that was a YE adjustment from my accountants the previous fiscal year. Is the unresolved to show zero before I post or do I have to resolve this prior to posting…
  • Bank Reconciliation Resolved amount

    I have a resolved amount of -$9829.88.. but no discrepancies or unresolved amounts. Is this going to cause problems down the road, what can I do? What causes this?
  • Visa statement overlapping two different months

    My visa statement runs from the 2nd of one month to the 3rd of the next month. Do I always enter these transactions from the first few days of the next month even though they are not my normal monthly reconciliation I use for the regular bank account…
  • How to Delete a Bank Reconciliation? on sage50 Canada

    Help please, I am almost positive my Sage50 bank reconciliation has glitched in some way. I attempted to reconcile the account with my bank statement - everything matches up. I have the correct: statement start date; statement end date; statement…
  • Bank Reconciliation for next month transactions (bi-weekly pay)

    Hi all, hoping someone can help me here. This is my first year using Sage, and my bank reconciliations have worked great until now. We switched to a bi-weekly pay schedule, with the hours to midnight Saturday being paid out on the following Friday.…
  • RE: Bankrec report

    If everything is in balance, there is no journal entry, so nothing to print from the reconciliation screen. The reports on completed reconciliations are under Reports | Banking
  • Reconciliation with personal...

    Good morning everybody, I have a slight problem, hoping it can be easily fixed! I'm doing a bank rec for the business bank account and everything equals out and reconciles... Except one personal purchase was made aswell :/ for $175. How can I…
  • RE: Printing the open screen

    Thanks AmyGurl, I hadn't used this report, but it, should be in all Editions, the online help usually mentions when it isn't. The Reconciliation Transactions Detail Report The Account Reconciliation report displays a list all the transactions that…
  • RE: Printing the open screen

    It's possible to click the 'Save' button, and come back to the reconciliation of that account where you left off, when you next open the reconciliation window. When closing the reconciliation window, the program will ask you if you want to save the…
  • RE: reconciling credit card

    I do. One thing that I've found to make things easier is to keep a spreadsheet with a running tally column from the bank statement, both so that I can reconcile from the online balance, and because the statements just show a total after 4 pages so it…
  • Reconciliation not allowed