Consider the following scenario in Bank Reconciliation in Microsoft Dynamics SL:
You create a check in Accounts Payable.
You void the check more than one period in the future. As an example, Bank Reconciliation is in period 01-2014 and the check is voided in AP in period 03-2014.
In this scenario, in the interim period of 02-2014, the check was not displayed as outstanding.
You create a check in Accounts Payable.
You void the check more than one period in the future. As an example, Bank Reconciliation is in period 01-2014 and the check is voided in AP in period 03-2014.
In this scenario, in the interim period of 02-2014, the check was not displayed as outstanding.