Menu Path: Cash Management Reconciliation Accounts Payable Payment Reconcile Reverse
Reverse the reconciled status of an accounts payable payment.
Use Accounts Payable Payment Reconcile Reverse to reverse a previous reconciliation. You can select individual payments, or payments in a range for a specific account and payment method.
To reverse reconciled payments:
Enter a cash account for which you want to reverse reconciliation in the Cash Account field. This defaults to the default cash account.
Enter a date for reversing reconciliations in the Reversed Date field. This defaults to the current date.
Click the Lookup button to the right of the Payment Method field, and select a payment method for the payments for which you want to reverse reconciliation.
If you want to reverse reconciliation for a range of payments, select the Select Payment ID Range check box, and then enter the range of payment ID's in the From and To fields. If you want to select individual payments, select payments in the Available Reconciled A/P Payment Items grid, and then click Add.
When you have selected all the payments for which you want to reverse reconciliation, click the Reverse Reconciliations button in the ribbon. The payment reconciliations are reversed. If a currency exchange gain/loss entry was generated during the original reconciliation of a payment, it will be reversed during the next accounts payable payment posting to the general ledger.
Button |
Description |
Exit |
Click this button to close the Accounts Payable Payment Reconcile Reverse window. |
Reverse Reconciliations |
Click this button to reverse reconciliations for the selected accounts payable payments. If a currency exchange gain/loss entry was generated during the original reconciliation of a payment, it will be reversed during the next accounts payable payment posting to the general ledger. |
Field or Button |
Description |
Enter the cash account of the reconciled payments, or click the Lookup button to select the cash account. This field defaults to the default cash account. |
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Enter the date against which the reconciliation reversal is being made, or click the drop-down arrow to select a date. This defaults to the current date. |
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Click the Lookup button to select the payment method for payments to be displayed. |
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Select this check box to reverse reconciliation for a range of payments. This check box is cleared by default. |
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Enter the first payment ID in a range of payment ID's for which you want to reverse reconciliation, or click the Lookup button to select a payment ID. This field is only enabled if you select the Select Payment ID Range check box. |
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Enter the last payment ID in a range of payment ID's for which you want to reverse reconciliation, or click the Lookup button to select a payment ID. This field is only enabled if you select the Select Payment ID Range check box. |
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This field displays the total number of selected payments. |
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This grid displays accounts payable payments that have been reconciled and can be reversed. This grid is only enabled if you clear the Select Payment ID Range check box. Note This grid is cached to improve performance. You cannot sort, filter, group, graph, or summarize data in this grid. |
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Click this button to add the payment selected in the Available Reconciled A/P Payment Items grid to the Selected Reconciled A/P Payment Items grid. |
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Click this button to remove the selected payment from the Selected Reconciled A/P Payment Items grid. |
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This grid displays payments you have selected for reversing reconciliation. |
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This field displays the total amount of selected payments. |