Modify Payment Month for a Premium Payable Reconciliation

If the Journal Entry Approval Process is enabled, only journal entries with an Approved or System Approved status affect General Ledger balances and display on reconciliation screens. Journal entries with a Working, Submitted, or Rejected status are excluded.

  1. Access the Reconciliations area.

  2. Click Premium Payable under Reconciliations on the navigation panel.

  3. The Premium Payable Reconciliations screen displays. Change the reconciliations that display in the list if necessary.

    Click here for an explanation of reconciliation statuses.

  1. Click the appropriate Statement in the list, and then do one of the following:

    Note: No actions can be performed on statements containing archived transactions.

  2. Change the Accounting month and year.

    Note: The month can be modified to an open month only. Locked, closed, or finalized months are not allowed.
  3. Click Finish to complete the workflow.

    Click Cancel or press [Esc] to exit the workflow without changing the payment month.

See Also