Skip to Content
Menú
This question has been flagged
767 Vistes

Hi All,

I am trying to do an internal transfer between two of the company bank accounts. one in USD that will be debited and one in EGP that will be credited.

The bank statements in both accounts are inserted but I cannot validate them because i get an error saying that I cannot validate an entry with two journal entrees  

Avatar
Descartar