İçereği Atla
Menü
Bu soru işaretlendi
1 Cevapla
4737 Görünümler

I am getting below error while bank reconciliation, Appreciate any solutions on this.


"The journal entry BNK1/2020/11/0090 reached an invalid state regarding its related statement line. To be consistent, the journal entry must always have exactly one journal item involving the bank/cash account"

Avatar
Vazgeç

I am getting the exact same error and cannot figures it out for anything. If you find a solution please let me know. Thanks!

Hi

I get the same message. if you found a solution please send it to me

Thank you

En İyi Yanıt

You can try to change the account type other than "bank & cash". it works

Avatar
Vazgeç

more info please

İlgili Gönderiler Cevaplar Görünümler Aktivite
2
Şub 23
14929
1
Kas 20
6067
1
Mar 15
5014
1
Mar 15
6897
3
Tem 25
3110