From the Microsoft Dynamics GP Blogs: Cash v check balance; Doubled benefits; Extender ‘add link’ issue; Web client scale-out with IIS
In this Microsoft Dynamics GP blog roundup:
- Bank Reconciliation - Check book versus Cash Account Balance;
- Benefit, Deduction and/or Pay Code Amounts are Doubled on My W-2s;
- #MSDYNGP Extender View Involving Extender Window/Form - Strange "Add Link" Issue & Reason;
- Microsoft Dynamics GP 2013 SP2 Web Client Scale-Out Deployment: Installing IIS On Session Control Server
Bank Reconciliation - Check book versus Cash Account Balance
Over at his Dynamics GP Essentials blog, Mahmoud M. AlSaadi says one of the common issues GP users encounter is an unbalanced checkbook versus General Ledger. The checkbook's current balance is not tied to the balance in the General Ledger, he says.