Change Time Balance

Explanation

Use this function to set a new balance value for a specific employee and date. The function lets you see the current value and enter a new value for the date.

The transaction creates a new row in the Balances Accruals and Withdrawals window. The stored value is the difference between the old and the new value.

Prerequisites

N/A.

System Effects

As a result of this activity, a new accrual or withdrawal transaction is created that will result in a correct accumulated balance value.

Window

Change Time Balance

Related Window Descriptions

Change Time Balance

Procedure 

1. Select the row to reconcile.
2. Select right-mouse-button Reconcile.