HEADLINE:   What's new in Sage 300 v2024 ...   Read More . . .

Month end processing in Sage 300 ERP consists of

  • posting all batches in subledgers (AR,AP,IC,PJC) and in G/L.
  • ensure subledgers reports total matches with G/L control accounts using Functional currency.
  • bank reconciliation report matches with G/L bank balances.

We often discover the subledgers total do NOT match with those control accounts in the G/L.  Follow these steps to identify those commonly made mistakes:

Login your member id to view.