Debugging Debtors and Creditors Reports

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Revision as of 08:40, 16 March 2021 by Gmcollett (talk | contribs)
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Follow these steps to validate and debug problems with debtors and creditors reports.

  • Check that totals of bill/invoice header and line balances match each other.
    • If they don't match, find specific transactions that do not match and review the data. The calculation of balance on either the header or the line may be incorrect.
  • Run the reconcilation
    • Check that the total "Outstanding" amount matches:
      • Creditors: The sum of balances on bill headers/lines including -ve balances for credit notes.
      • Debtors: The sum of balances on invoice headers/lines including -ve balances for credit notes.

General Checks

  • Ensure that no invoice/bill line is over-paid. Suspect duplicated allocations or migrated data from old systems.
  • Ensure that the line status of invoices/bills matches the balance owing.
  • Ensure that the header status of invoices/bills matches the associated line status values.
  • Ensure that unposted transactions don't have any net ledger transactions.