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                Accounting basics
            
            
            
        
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                    - Uneix-te a aquest curs per accedir als recursos
- Questionari
 
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                    - Uneix-te a aquest curs per accedir als recursos
- Questionari
 
 
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                Invoicing
            
            
            
        
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                    - Uneix-te a aquest curs per accedir als recursos
 
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                    - Uneix-te a aquest curs per accedir als recursos
 
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                    - Uneix-te a aquest curs per accedir als recursos
 
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                    - Uneix-te a aquest curs per accedir als recursos
 
 
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                Payments
            
            
            
        
        
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                    - Uneix-te a aquest curs per accedir als recursos
 
 
- Bank and cash
- Taxes
- Accounting management
- Reporting
- Inventory valuation
- End of period
Bank configuration
Learn how to configure your bank on Odoo.
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                    1.
                
                What does the Bank Suspense account do?
            
        
                
                    
                    It temporarily holds a balance between making/receiving a payment and reconciling it with a bank transaction.
                
                
                    
                    It balances the journal entries of any transfers made from one bank or cash account to another.
                
                
                    
                    It temporarily holds a balance between creating a bank transaction and reconciling it.
                
                
                    
                    It suspends all journal entries in the bank journal until after the all-user lock date.
                
            
                
                
                
            
        
    
                
                    2.
                
                Is the Account number (IBAN) field required on a bank journal?
            
        
                
                    3.
                
                What is the purpose of creating multiple Outstanding Receipts and Outstanding Payments accounts?
            
        
                
                    
                    It allows you to configure each bank/cash journal with its own Outstanding Receipts and Outstanding Payments account to eliminate confusion.
                
                
                    
                    It allows you to have multiple bank/cash journals.
                
                
                    
                    It allows you to skip bank reconciliation.
                
                
                    
                    It is not possible to create multiple Outstanding Receipts and Outstanding Payments accounts.
                
            
                
                
                
            
        
    