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v-13 database

The expenses are entered as a manual journal entry, example:
D Expense A - $10
D Expense B - $20
D Expense C - $30
C Account Payable ABC - $60

In the bank statement, it will appear:
- Payment A -$10
- Payment B -$20
- Payment C -$30

How can we reconcile it properly?

We cannot validate a journal entry partially and we cannot select multiple bank lines at the same time.


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Thanks, Christelle! It works.

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