콘텐츠로 건너뛰기
메뉴
커뮤니티에 참여하려면 회원 가입을 하시기 바랍니다.
신고된 질문입니다
2 답글
4897 화면

We enter some account entries directly to the account for bank account, in order to at the same time post some charges or agio.  It seems like these entries cannot be reconciliated with bank statement. Any proposals? Pictures attached in link:

Account Entry 

Report Bank Statement



아바타
취소
베스트 답변

Following the exact same issue. Any updates?

아바타
취소
베스트 답변

Hi Lars: 

Check whether Allow Reconciliation has been selected for these accounts. You can check this by going to Accounting (or Invoicing in CE) > Configuration > Chart of Accounts.

아바타
취소
작성자

Done that. But the problem remains. The posting in the journal has been don to the account for the bank. So the bank reconciliation should be done to the item for the posting. If I have registered a payment to a vendor or from a customer, this is not a problem. But with a direct journal entry, this problem occurs.

관련 게시물 답글 화면 활동
1
11월 24
2451
2
4월 21
8063
1
8월 22
2712
1
8월 21
8223
0
6월 16
4255