General Ledger batch saved out of balance

A batch saved out of balance, causing the Trial balance and General Ledger report balance to be different
We are currently evaluating this issue and will update this article when we have more information.

Steps to Duplicate

1. Go to General Ledger
2. Go to Journal entry
3. Go to the affected batch
4. The bottom right of the batch shows an out of balance by that should actually be 0


 Financial Edge

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