Odoo Experience 2016
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Manufacturing Operations for Modern Companies: Tablets at each work center
Hecho
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Implementation Methodology for mid-size & large companies
Hecho
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Odoo Website: The new page builder interface
Hecho
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MRP: Integrated Product Lifecycle Management
Hecho
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How UCM uses Odoo to manage its financial processes
VINCENT LAROYHecho
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Odoo Studio: Automated Actions
Hecho
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Who is behind Odoo? How we train managers at Odoo
Hecho
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Customer Success Story: How to use CRM, sales, delivery and invoicing in a brewery (Bertinchamps)
Hecho
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Odoo Helpdesk: A new application for customer service teams
Hecho
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Advanced MRP KPIs and how they are computed (OEE, MTBR, MTTF)
Hecho
Bank Statements Reconciliation: Advanced Use Cases
Ubicación: Main Theatre
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7/10/16 13:00
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7/10/16 13:20
(Europe/Brussels)
(20 minutos)
This talk is for accountants who already know Odoo and want to improve their knowledge on how to manage bank statements in Odoo.
The first part is related to the different ways to get your statements in Odoo:
- direct bank synchronization (example with a bank & paypal statements)
- the new CSV import tool in Odoo 10
- QIF/OFX import
The second part of the presentation is related to record your bank and cash transactions and how to do the bank matching process easily (structure of the journals, transit accounts, etc.)
Different use cases will be proposed:
- how to manage credit cards payments from customers
- how to record inter-bank internal transfers
- the two ways to manage checks
- how to use batch deposits
The last part is dedicated to the audit report: what to do when your balance in Odoo does not match your bank statements balance.