Hello Tim,
Indeed there is a duplicate entry in the bank trans.
That is odd that the GL entry shows it only once - and the bank account inquiry shows only one - but the bank trans table has it twice
I would expect that an entry in the banktrans table should show in the Account Inquiry??
Bank Account Inquiry -
https://snipboard.io/qLdviC.jpg
HST Recoverable Account Inquiry -
https://snipboard.io/ieaBA8.jpg
Communication Expense Account Inquiry -
https://snipboard.io/B9PJrX.jpg
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there are the three accounts that comprise this bank payment - there is only one entry in the account -
gltrans from that date - only shows one entry -
https://snipboard.io/mweCkX.jpg
DUPLICATE bank payment (same transno) - banktrans table in DB -
https://snipboard.io/L8v0Ta.jpg
DUPLICATE bank payment - Matched payments -
https://snipboard.io/Qd7xwh.jpg
General Ledger transaction Enquiry -
https://snipboard.io/6ICA1a.jpg
Check Listing (shows the payment entry twice) -
https://snipboard.io/vxiyDb.jpg
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Thanks very much in advance for your support.
Hello Tim,
Further to my reply to your message, I have a dev instance setup and did a bit of testing - when i created a 'Bank Account Payments Entry' - if I only enter a single 'General Ledger Payment Analysis Entry' - there was no duplicate banktrans -- but when I enter two (1. the expense account, 2. the HST Recoverable account) - then there is a duplicate bank trans entry -- seems like that is where the error happens.
see my screen video showing the issue reproduced -
https://drive.google.com/file/d/1lpMP9Ul...sp=sharing