Difference between revisions of "NF1.0 GL Reconciliation"

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Please refer to this document of adaxa for information [https://docs.google.com/a/trekglobal.com/folder/d/0B3bIqlUcP8LccElYY25nNkNCMlU/edit?pli=1&docId=0B3bIqlUcP8LcbExESGRkS2cwREU How to GL Reconciliation Module]
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Please refer to this document of adaxa for information [http://docs.google.com/a/trekglobal.com/folder/d/0B3bIqlUcP8LccElYY25nNkNCMlU/edit?pli=1&docId=0B3bIqlUcP8LcbExESGRkS2cwREU How to GL Reconciliation Module]
  
  

Revision as of 02:27, 6 July 2013

Feature: GL Reconciliation

Goal: Functional

Sponsor: Adaxa

Sponsor: Ambidexter

Description:

The Account Reconciliation functionality is designed to assist in reconciling suspense/clearing type General Ledger accounts and reporting on the records that make up the balance of a clearing account at a particular point in time.

Three items are added to the Adempiere menu under Performance Analysis → Accounting Facts:

  • Process: Account Reconciliation (Auto)
  • Report: Unreconciled Accounting Facts
  • Form: Account Reconciliation (Manual)

taken from:

Please refer to this document of adaxa for information How to GL Reconciliation Module



Technical Info: IDEMPIERE-137

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