Skip to Content
Menu
You need to be registered to interact with the community.
This question has been flagged
1 Odgovori
2714 Prikazi

Hi,

In version 11 when I try to do the bank reconciliation with a bill which has not been created, the process creates a two entries, bank entry and payment entry for the vendor.

It does not create a vendor bill. Is there a way to do it? Otherwise we need to create a bill manually and then match it.

Thank you

Avatar
Opusti
Best Answer

You will need to create the bill manually. All the information needed to create a bill is not available in the bank transaction. For example, the details of the product cannot be derived by the system based on the bank transaction.

Avatar
Opusti
Related Posts Odgovori Prikazi Aktivnost
3
nov. 19
4122
1
nov. 19
3186
1
apr. 18
2891
2
mar. 18
4363
2
okt. 17
7871