Show Vendor Reconciliation Journals Workspace
Use this workspace to review reconciliation journal information.
A vendor reconciliation journal is created every time Maconomy changes the reconciliation of a vendor entry.
A reconciliation can be made in the A/P open entry reconciliation dialog where the user can reconcile a debit entry (typically a credit note or a manual payment) against a number of other vendor entries (normally a number of vendor invoices). A reconciliation can also be made when the user makes a payment, in which case the reconciliation is between the payment entry and the paid entries.
Maconomy also creates a vendor reconciliation journal if the user reopens a previously made reconciliation. In this case, Maconomy provides a link to the original vendor reconciliation journal.
- Related Topics:
- Vendor Reconciliation Journal Tab
This section includes the fields and descriptions for the Vendor Reconciliation Journal tab.