The G/L entries are incorrect when you use the Void function from a journal to revert a check that is created by using Cartera functionality and bills accounts in the Spanish version of Microsoft Dynamics NAV 2009. The account that is used when voiding should be the bills one and not the customer national one. The G/L entries are incorrect and this causes the accounting is not balanced. Follow the steps in the code changes section to solve this issue. This problem occurs in the following product:
- The Spanish version of Microsoft Dynamics NAV 2009 R2
- The Spanish version of Microsoft Dynamics NAV 2009 SP1