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Bank Reconciliation

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Hi,

We are trying to post a bank reconciliation but are receiving the error message:

Statement Status must be equal to 'Bank Acc. Entry Applied' in BACS Ledger Entry: Entry No.=29. Current Value is 'Open'.


The statement status on every transaction that we want to reconcile is showing Bank Acc. Entry Applied.

I am therefore confused.

Please advise?

Thanks

Mark


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