Hi all,

There was a problem on book suspense account, due to which some amount could
not be cleared.

Later this amount was adjusted manually because of which exchange difference
figure occcured in one of the account. So for bank reconciliation the
opening balance was changed and the figure to which it was chnaged was
incorrect. Please let me know what will be the impact on system or if
anything will get affected or anything need to be taken care of ?

Thanks in advance,

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