Show Vendor Reconciliation Workspace

Use this workspace to review vendor entries and the entries used to reconcile them (for example, to see an invoice and the payments and credit memos that reconciled it).

You can review vendor invoices, vendor credit memos, manual payments from a general journal, automatic payments from approval of payment selections, cash discounts, and exchange rate differences.

Use this workspace to display vendor entries and the entries that reconciled them.

The tab displays an entry, and the sub-tab displays how it is reconciled. You can use this workspace to track how an invoice was paid (for example, if your vendor says payment has not been received).

The vendor entries can be divided into the following categories: Vendor Invoices, vendor credit memos, manual payments from a general journal, automatic payments from approval of payment selections, cash discounts, and exchange rate differences.