Hi, I'm preparing the last few steps for going live. I have managed to import open invoices and bills and set them up. Has anyone handled setting up the following -
- Customer Undeposited Checks
- Vendor Issued Checks (not yet cashed)
- Advances to Vendors
I would like to set these payments individually per partner so that I can reconcile when they are deposited / withdrawn from the bank later on (after live).
Thank you!