Use this routine to fix rejected TPA transactions so you can re-transmit the items containing the errors to your third-party accounting package. This routine can fix GL transfer errors, AP transfer errors (receiving and vendor credits), and customer-refund transfer errors.
After you file your changes, the system re-evaluates the items. If the batch is still not valid, the reason appears on the screen and you can either save the batch as-is or abort the file and continue with the maintenance process.
If the batch is valid (and TPA is active), the following prompt appears:
Resubmit this item to TPA?
If you click Yes, the system removes the TPA error flag and resubmits the item to TPA.