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The results of your search are shown below. To refine your search, revise your keywords, and/or select the appropriate check boxes to the right.

How to remove Suspense Items in Bank Rec

Product Line
MIP Fund Accounting
MIP Cloud/Login.mip.com
  • Read more about How to remove Suspense Items in Bank Rec

Can I prevent a check from being voided after I have reconciled my bank account?

Product Line
MIP Fund Accounting
  • Read more about Can I prevent a check from being voided after I have reconciled my bank account?

Why are multiple deposits summed into one total in Bank Rec module?

Product Line
MIP Fund Accounting
  • Read more about Why are multiple deposits summed into one total in Bank Rec module?

Using Suspense Items to Account for Date Differences in Bank Rec

Product Line
MIP Fund Accounting
  • Read more about Using Suspense Items to Account for Date Differences in Bank Rec

DF-FA951-Deposits in Transit is displaying incorrectly

Submitted by 217 on Thu, 02/13/2014 - 13:43
Symptom

Going back to a previous reconciled month displays the deposits in transit incorrectly when multiple cash accounts are referencing the same document number.

 
 
Product Line
MIP Fund Accounting
  • Read more about DF-FA951-Deposits in Transit is displaying incorrectly

How To - Learn to use the Bank Reconciliation Module

Product Line
MIP Fund Accounting
  • Read more about How To - Learn to use the Bank Reconciliation Module

DF-FA947-Unreconciled difference changes on view

Submitted by 217 on Tue, 01/21/2014 - 10:04
Symptom

Unreconciled difference changes by 1 cent depending on view
 
 

Product Line
MIP Fund Accounting
  • Read more about DF-FA947-Unreconciled difference changes on view

Product

  • MIP Fund Accounting (7)

Modules/Features

  • General Ledger (1)
  • (-) Bank Reconcilliation (7)

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  • 2014.0 (5)
  • 2014.1 (5)
  • 2014.3 (5)
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  • 2013.2 (4)
  • 2013.3 (4)
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  • (-) 2014.2 (7)

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