Přejít na obsah
Menu
You need to be registered to interact with the community.
This question has been flagged
1 Odpovědět
2637 Zobrazení


Cash journal 

Balance in General Ledger 20000

Latest Statement 0

Difference 20000


How do I reconcile this? This is cash not cash in the bank.

I won't have a bank statement for this yet.


Avatar
Zrušit
Nejlepší odpověď

you can create a cash register and reconcile the amount exactly like the bank statement.

Avatar
Zrušit