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	<title type="html"><![CDATA[FrontAccounting forum — bank account inquiry vs GL Cash balances..does not tie-up..]]></title>
	<link rel="self" href="https://frontaccounting.com/punbb/extern.php?action=feed&amp;tid=469&amp;type=atom" />
	<updated>2009-01-31T17:03:39Z</updated>
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	<id>https://frontaccounting.com/punbb/viewtopic.php?id=469</id>
		<entry>
			<title type="html"><![CDATA[Re: bank account inquiry vs GL Cash balances..does not tie-up..]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=1751#p1751" />
			<content type="html"><![CDATA[<p>Hello,<br />I&#039;m not sure if I fully understand what you are trying to achieve by doing these operations. You said you have uploaded the GL balances. How?<br />If you have done this by a script directly through phpMyAdmin or so, then you have no sync with the bank accounts.<br />Normally you enter you opening balances (as admin) in the GL Journal entries the first time you start your company accounting. If you have entered an account that is also a bank account, the bank account balance will also be updated. <br />Therefore it is a good idea to first create your bank accounts.<br />The bank account reconciliation feature is implemented in release 2.1 Beta, that are shipping next week.<br />It is a little dangerous to export/import data outside FrontAccounting due to the relationship between the data tables in the database.</p><p>/Joe</p>]]></content>
			<author>
				<name><![CDATA[joe]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=3</uri>
			</author>
			<updated>2009-01-31T17:03:39Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=1751#p1751</id>
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		<entry>
			<title type="html"><![CDATA[bank account inquiry vs GL Cash balances..does not tie-up..]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=1747#p1747" />
			<content type="html"><![CDATA[<p>Hi everyone,</p><p>We have uploaded the GL balances as of December 31, 2008, then we have now the current year 2009. How do we manage&nbsp; to get tied-up with the &quot;bank account inquiry&quot; against GL balances..since in the first place...&quot;bank account inquiry&quot; doesn&#039;t have open balance....how are we going to do to get balanced and reconciled both GL and Bank inquiry&quot;....</p><p>this is my solution...pls check...</p><p>ALL Transactions found in the Bank_trans we will export it to csv file...then, we are going to add the one(1) line item per cash account and filled-up the corresponding table&#039;s field requirements including the sequence number(incremental line item number)...after that re-upload the csv data file....</p><p>Pls. have some advice for us...</p><br /><p>Thanks</p><p>joelg</p>]]></content>
			<author>
				<name><![CDATA[joelg]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=287</uri>
			</author>
			<updated>2009-01-31T15:29:16Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=1747#p1747</id>
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