Resolve a reconciliation mismatch
Who can do this Treasurer
Steps
- Open Books → Reconciliation and open the run marked Mismatch.
- Read each control total: expected, ledger and the difference.
- Find the cause. It is usually a posting from the wrong account or a payment still in suspense.
- Correct it with an entry, then select Run reconciliation now.
What happens next
Mismatches are raised, never hidden. A month can’t be returned or a year closed until reconciliation passes.
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