Summary
After running Year End I have no balances on my Nominal Codes, steps on how to resolve this problem.
Resolution
To resolve this it is good practice to run a Verify Data for the Nominal Ledger as follows:
- Click Accounting System Manager then System Utilities then Verify Data then Financials.
TIP: For Sage 200 Professional 2016 and below this option was called Balance Ledgers. - Select Nominal from the Module drop-down box, then tick All Accounts
- Select Validate, Report and correct anomalies then press OK followed by Yes
Documentation explaining the need for this is outlined in the following help file for Year End.