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I am getting below error while reconciliation (v14)

"The journal entry BNK1/2020/11/0090 reached an invalid state regarding its related statement line. To be consistent, the journal entry must always have exactly one journal item involving the bank/cash account."

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Huỷ bỏ

Did you ever figure out why it was doing this? I have the same issue.

Câu trả lời hay nhất

I experienced the same error and I have found a solution. To make it work, you can do the following step

  1. Go to Chart of Accounts
  2. Go to the bank account that you are trying to reconcile with
  3. Change the account type to anything other than "Bank and Cash"
  4. Change the type back to "Bank and Cash"

This should allow you to reconcile the bank account.

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Huỷ bỏ

Thank you. Strange error and an even more odd solution. But it worked.

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