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Re: Wrong Entries through Bank Statement Version 7.0

by
Chris Jones
- 02/24/2015 10:53:20

The way I've been dealing with it is to have the bank statement balance and match the actual bank statement and confirm it. Then I go into Journal Items and delete any partial payments or wrong entries and then use Register Payment to record them.

On Feb 24, 2015 2:28 AM, "Bharat Devnani" <devnanibharatr@gmail.com> wrote:
Dear Community Members,

There were some open invoices, which were paid through Bank Statement, but the few resultant entries got wrongly created and posted too. So i would like to ask your expert opinion on how to rectify those entries, as those entries have Reconcile or Partial Reconcile Reference.

I tried to delete Reconcile or Partial Reconcile references and then tried to modified those entries, though it didn't had any effect on the Payable and Receivables of Partner's as those entries were showing Unreconciled.

Kindly provide your valuable suggestions.

Note: There were around 100 of invoices, paid through Bank Statement, so cancelling the Bank Statement and paying individual invoices will take long.

Thanks & Regards,
Devnani Bharat R.

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