Last updated on AUGUST 09, 2017
Applies to:JD Edwards EnterpriseOne General Ledger - Version 9.2 and later
Information in this document applies to any platform.
On : 9.2 version, General Accounting P09131 Bank Account Reconciliation
When you go into P09131 to reconcile accounts and use the Row Exit Reconcile Toggle it does not update the transactions with an R or the Cleared Check Date field on either the F0911R or F0911. Issue is a direct result of set up of process tab processing option under P09131
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