Banana Error List
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The program reports this message when it detects that there have been changes in your accounting file that make it suitable an accounting recalculation.
In some cases it is just a precautionary measure to ensure that all…
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Cause
There is a difference between the Debit and Credit columns in the Transactions table. The program will signal the beginning of the row containing the possible difference.
Solution
For this message…
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Cause
An amount has been entered the Opening column of the Accounts table, but the account is missing.
Solution
Enter the account related to the amount in the Accounts table.
Related Topics
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Cause
An exchange rate has been entered in the Exchange Rate column for a transaction in base currency.
Solution
The number 1 must figure in the Exchange Rate column, else the cell must remain empty.
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Cause
The amount calculated in a foreign currency, on the basis of the entered exchange rate, differs to the amount in the base currency.
Solutions
If the amount in the base currency is correct, select it an… -
Cause
The exchange rate entered is below the minimum defined in the Exchange Rate table.
Solution
Check the Exchange rate settings and enter a value which is not below the minimum defined in…
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Cause
The exchange rate entered is above the maximum defined in the Exchange Rate table.
Solution
Check the Exchange rate settings and enter a value which is not above the maximum defined in…
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Cause
The CC1 Cost Center is not denominated in the transaction's currency. The Transaction's amount will not be calculated for, nor appear in the CC1 cost center.
Solution
Insert a cost center with the…
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Cause
The CC1 cost center that you entered (the account preceded by a period "."), does not exist in the accounting plan. In the Transactions table, the cost center has not been entered in the CC1 column. In the Transactions… -
Cause
The cost center being used is not in the Base currency. Breakdown for VAT allocation can't take place if the cost center being used is not denominated in the Base currency.
Solution
Set the cost centers…