For the complete documentation index, see llms.txt. This page is also available as Markdown.

AR Ledger Entry Enquiry

AR Ledger Entry Enquiry presents a focused investigation of an accounts receivable entry and its relationships.

Concepts

Selecting the data

Start from the entry identifier or a link from an AR list. Confirm the selected company and the customer, document, dates, and amount before interpreting the result.

Reading the detail

Use the enquiry relationships to follow the source invoice, receipt, credit, applications, reversal, control account, and journal. The purpose is to explain how one customer movement contributes to balances and settlement.

Source and scope

The enquiry assembles existing immutable records. It does not change the entry or settle an amount.

Refresh and export

Refresh before relying on recently posted activity. Export where the screen offers it, and record the selected company and filters with any output used as evidence.

Corrections

This is an enquiry screen. Do not try to alter a ledger result here. Correct the source setup where appropriate, or post a supported correcting document or reversal so the financial and audit histories remain complete.

See also

Last updated