Ir al contenido
Menú
Se marcó esta pregunta
1903 Vistas

Is there any way to show bank balance based on reconciled amount with bank statement? Currently bank balance is based on payment based in posted state rather than reconciled state.


I am reconciling only registered payment based on customer invoice and vendor bill. The one which i reconcile directly to account are bank charges and others not related to customer invoice and vendor bill. I realize those which I reconciled directly will create a journal entry on the bank journal. The payments journal entries are created when i do register payment. Should I post those payments on a different journal, then have it create the bank journal entry after reconciliation?  

Avatar
Descartar
Publicaciones relacionadas Respuestas Vistas Actividad
3
jun 25
3562
1
abr 25
1326
0
nov 23
1474
1
ago 23
2187
2
jul 23
3479