I want to close a fiscal year in one database and generate opening entries, then I want to carry forward opening balances for all the partners, taxes and products in a freshly created database. Please if anyone have a solution to it help me here. Its very urgent. The basic idea is to keep the data of each fiscal year separately.
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|Asked: 12/6/13, 8:20 AM|
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|Last updated: 3/16/15, 8:10 AM|