Reconciling Accounts Receivable to the General Ledger
I am trying to reconcile the Receivables Reconciliation report to the Accounts Receivable in the General Ledger, which is showing an Out of Balance Amount of $390.94.
The Receivables Reconciliation report from previous month indicated the the Out of Balance amount was zero. I then ran the General Ledger Detail for the current month as well as the Customer Ledger for the current month. The Net Activity in the General Ledger Detail report was the SAME as the total of the transactions in the Customer Ledger, but there should have been a difference of $390.94 (ie equal to the Out of Balance Amount in the Receivables Reconciliation).
I note the Customer Ledger report does NOT include the balances of those debtors which have no activity in the period, so it is impossible to reconcile the opening and closing debtor balances between this report and the General Ledger.
Can you help?