跳至內容
選單
此問題已被標幟
1916 瀏覽次數

Struggling with reconciling my bank statements. It doesn't seem to want to match my invoice payments. 

For example. I invoice a product. Then register a payment. Shows both in the partner journal, shows invoice as paid, but when I go to reconcile with the bank statement I can't find the entry to link them together. 


Any suggestions?

頭像
捨棄
相關帖文 回覆 瀏覽次數 活動
3
11月 24
5526
0
9月 23
2543
1
8月 23
3569
1
6月 23
4791
5
4月 23
8001