Interfund entries may be using the wrong account if the set has the incorrect account numbers.
1. In the affected subledger's Configuration, click Interfund. 2. Open the Interfund set not working correctly. 3. Ensure all selected accounts are valid and are the accounts to be used. Double-click any incorrect row and adjust the interfund accounts if they are incorrect. 4. Click OK. 5. Save and close the Interfund Entry set.