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.
Click Premium Payable under Reconciliations on the navigation panel.
The Premium
Payable Reconciliations screen displays. Enter
your desired search criteria to populate the list.
Click here
for an explanation of reconciliation statuses.
Click the statement in
the list and then do one of the following:
Click Actions > Associate GL Item on the options bar.
Click Actions > Associate GL Item on the menubar.
Right click the statement and select Associate GL Item.
Note: No actions can be performed on statements containing archived transactions.
The Associate
General Ledger Item window displays. Select an item in the
dropdown menu.
If you select Journal Entry
and the Journal
Entry Approval Process is enabled, you can only choose a journal
entry in Approved or
System Approved status.
Select the Bank account.
If you chose Disbursement
in step 5, choose the appropriate radio button:
Reference #
Check #
Enter a Reference # or a Check # if applicable.
Optionally make a selection in the Detail dropdown menu.
Click Finish
to complete the workflow.
Click Cancel
or press [Esc]
to exit the workflow without making any changes.