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Setting up our new system I am trying to enter all items from the beginning of the year via journal entry. After I upload the bank statements a lot of the manual journal entries I entered are not there. Basically only customer payments are in the list of counterparts.  I am using version 12 

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We do not recommend manually journaling cash / bank balances.  There is always a real-world transaction associated with every amount.  For auditing purposes and to make sure the additional controls that transactions provide can be leverage, we suggest posting to AP or AR instead of cash, then either creating the payment manually or automatically (via Bank reconciliation).

See also https://www.odoo.com/forum/help-1/question/invoice-payment-reconciliation-with-journal-entries-139890

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