Here’s a quick fix from the Boyer support deskI have been working support cases for Microsoft Dynamics SL for many years now. I thought I would highlight an issue that comes through support on a regular basis regarding Cash Manager.Specifically, users often have an issue where Cash and the GL balances do not reconcile. Below are two common reasons for this to occur and how to fix the issue.First, one of the easier issues to resolve is to validate that the correct period is being used compared to the bank statement date:Second, the more reoccurring reason for this issue is that the Period to Post does not match one or more specific transaction dates. This could be caused by checks, deposits or journal entries where the transaction … [Read more...] about Is Dynamics SL Cash Manager out of balance?