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	<title type="html"><![CDATA[FrontAccounting forum — Customer Balance Showing wrong Outstanding balance]]></title>
	<link rel="self" href="https://frontaccounting.com/punbb/extern.php?action=feed&amp;tid=7838&amp;type=atom" />
	<updated>2018-11-23T01:49:14Z</updated>
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	<id>https://frontaccounting.com/punbb/viewtopic.php?id=7838</id>
		<entry>
			<title type="html"><![CDATA[Re: Customer Balance Showing wrong Outstanding balance]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=33373#p33373" />
			<content type="html"><![CDATA[<p>This commit can also be backported to FA 2.3.x as well by those on that branch still.</p>]]></content>
			<author>
				<name><![CDATA[apmuthu]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=364</uri>
			</author>
			<updated>2018-11-23T01:49:14Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=33373#p33373</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Re: Customer Balance Showing wrong Outstanding balance]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=33367#p33367" />
			<content type="html"><![CDATA[<p>The problem was fixed on the supplier side in another way.</p><p>This issue has been fixed and committed to stable. You can download the fixed file <a href="https://sourceforge.net/p/frontaccounting/git/ci/master/tree/reporting/rep101.php">here</a>. Thanks @kvvaradha.</p><p>/Joe</p>]]></content>
			<author>
				<name><![CDATA[joe]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=3</uri>
			</author>
			<updated>2018-11-22T09:31:33Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=33367#p33367</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Re: Customer Balance Showing wrong Outstanding balance]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=33366#p33366" />
			<content type="html"><![CDATA[<p>I didnt check supplier balances. Please test it and apply the fix if necessary.</p>]]></content>
			<author>
				<name><![CDATA[kvvaradha]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=19348</uri>
			</author>
			<updated>2018-11-22T09:22:42Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=33366#p33366</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Re: Customer Balance Showing wrong Outstanding balance]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=33364#p33364" />
			<content type="html"><![CDATA[<p>You are right, your solution fixes the problem.</p><p>I will just check if we have the same problem on the supplier side.</p><p>/Joe</p>]]></content>
			<author>
				<name><![CDATA[joe]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=3</uri>
			</author>
			<updated>2018-11-22T09:17:10Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=33364#p33364</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Re: Customer Balance Showing wrong Outstanding balance]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=33363#p33363" />
			<content type="html"><![CDATA[<p>Ok, I didn&#039;t try the allocation of the Journal Entry. Just a minute.</p><p>/Joe</p>]]></content>
			<author>
				<name><![CDATA[joe]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=3</uri>
			</author>
			<updated>2018-11-22T09:09:25Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=33363#p33363</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Re: Customer Balance Showing wrong Outstanding balance]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=33361#p33361" />
			<content type="html"><![CDATA[<p>I have tried both official stable and unstable recent snapshot. Both gives the same error, </p><p>For Your understanding i have a screenshot of both journal entry. and the customer payment. What happens is in the screenshot </p><p><a href="https://imgur.com/tA3SYvf"> Screenshot </a></p><p>check the last column(Outstanding) and due to it the grand total is also affecting.</p>]]></content>
			<author>
				<name><![CDATA[kvvaradha]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=19348</uri>
			</author>
			<updated>2018-11-22T08:59:28Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=33361#p33361</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Re: Customer Balance Showing wrong Outstanding balance]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=33360#p33360" />
			<content type="html"><![CDATA[<p>@kvvaradha</p><p>Are you sure you are operating on the latest stable repo? We have fixed a lot of bugs here, includeing the Journal Entries.<br />If you have entered the Journal Entry before the bugs were fixed, then you get the wrong balances.</p><p>With the latest repo, I cannot reproduce your issue. Everything is ok here.</p><p>/Joe</p>]]></content>
			<author>
				<name><![CDATA[joe]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=3</uri>
			</author>
			<updated>2018-11-22T08:21:28Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=33360#p33360</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Customer Balance Showing wrong Outstanding balance]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=33358#p33358" />
			<content type="html"><![CDATA[<p>@joe&nbsp; - Review and feedback it. </p><p>When we create a journal entry for customer opening balance. and when i open the customer balances report. The outstanding is not added there. And than i made payment to the journal entry through customer payments page. After that i see, that the outstanding balance is increased wth the payment amount.&nbsp; So i had a look into rep101.php</p><p>And i found one things, which is showing the wrong data there.&nbsp; </p><div class="codebox"><pre><code>if ( $trans[&#039;type&#039;] == ST_SALESINVOICE || $trans[&#039;type&#039;] == ST_BANKPAYMENT) </code></pre></div><p>which should be like this </p><div class="codebox"><pre><code>if ($trans[&#039;type&#039;] == ST_JOURNAL || $trans[&#039;type&#039;] == ST_SALESINVOICE || $trans[&#039;type&#039;] == ST_BANKPAYMENT) </code></pre></div><p>I mean include the journal passing entries to be here.&nbsp; </p><p>Hope it fixes the issue</p>]]></content>
			<author>
				<name><![CDATA[kvvaradha]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=19348</uri>
			</author>
			<updated>2018-11-22T04:28:20Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=33358#p33358</id>
		</entry>
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