تخطي للذهاب إلى المحتوى
القائمة
لقد تم الإبلاغ عن هذا السؤال
1 الرد
2620 أدوات العرض

Scenario :

1) I have two different bank journals in Odoo 16 (Bank A, Bank B) 
2) I did bank transfer using net banking with 20,000 INR from Bank A to Bank B 
3) After week i have imported the bank statements of both Bank A & Bank B into Odoo
4) Now i want to reconcile the Bank Entries 

How can I do that in Odoo ?

الصورة الرمزية
إهمال
أفضل إجابة

Record (2) in Odoo as an Internal Transfer from A to B.

See the documentation at https://www.odoo.com/documentation/16.0/applications/finance/accounting/bank/interbank.html

الصورة الرمزية
إهمال
الكاتب

Is there any alternate way that direct bank entry can be reconcile ?

because in the both the statement there is an entry in one bank Debit and another bank Credit so if those entry can directly reconcile....

This is the way we recommend so you. An verify each transaction happened. Automatic reconciliation would prevent this from happening and most likely raise questions for an auditor. You need to verify the money came out (Bank A) and later went in (Bank B) as two separate reconcilations with two separate statements.

الكاتب

@Ray Carnes... Thanks for clarifications.

المنشورات ذات الصلة الردود أدوات العرض النشاط
3
أكتوبر 24
7797
3
سبتمبر 24
6600
3
سبتمبر 24
3785
1
سبتمبر 24
2084
0
ديسمبر 24
1770