Difference between revisions of "Translations:Monthly closing reconciliation/12/en"
From Marathon Documentation
(Importing a new version from external source) |
|||
(One intermediate revision by one other user not shown) | |||
Line 1: | Line 1: | ||
− | * Reconcile the balance on accounts payable with balance list |
+ | * Reconcile the balance on accounts payable with balance list {{pth|Accounting|Reports}} tab Purchase ledger. See Reconciliation of Purchase Ledger. |
Latest revision as of 13:07, 10 January 2019
- Reconcile the balance on accounts payable with balance list Accounting: Reports tab Purchase ledger. See Reconciliation of Purchase Ledger.