Need instructions to check and resolve an error when posting cash/bank documents - insufficient funds

- Which reports can be used to check the balance on this date (Cash assets balances)
- generate the Statement of GL (for f/example, account 2050100 Cash on hand) and analyze the movement on this account

- check - compliance with the chronology of documents, cash register, entity 

When posting Cash or Bank documents, the system may display an error indicating insufficient funds. This occurs when the account balance on the posting date is not enough to cover the transaction amount. In some cases, clients may believe sufficient funds are available, but the system still shows an error.

Use the following checklist to identify and resolve the issue:

1. Verify Cash/Bank Balance on Posting Date

Open the Cash Assets Balances Report.

Money module > Reports > Cash Assets Balances

2. Generate General Ledger Statement

3. Check Document Chronology and Compliance

4. Corrective Actions