I have been working with Odoo for a few years and have just setup a new Odoo 18.0 database and are starting to work with our regular financial transactions.
In prior versions we needed to create Manual Journal Entries related to bank deposits or payments where we did not have an Invoice or Bill entered.
Examples:
- Payroll Journal Entry
- Daily Sales Journal Entry (from an external Point of Sale system)
- Petty Cash Journal Entry
- Owner Draw Journal Entry
- Paid in Capital Journal Entry
- Sales Tax Journal Entry
- Income Tax Journal Entry
How are these entries recorded so that they show up during bank reconciliation?
