跳至内容
菜单
此问题已终结

Hi, I'm preparing the last few steps for going live.  I have managed to import open invoices and bills and set them up.  Has anyone handled setting up the following -

- Customer Undeposited Checks

- Vendor Issued Checks (not yet cashed)

- Advances to Vendors

I would like to set these payments individually per partner so that I can reconcile when they are deposited / withdrawn from the bank later on (after live).


Thank you!


形象
丢弃
相关帖文 回复 查看 活动
0
9月 23
982