Difference between revisions of "Translations:Monthly closing reconciliation/51/en"

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(Created page with "* Print list 03-71 per reconciliation date. Match the total amount with the balance in account payable.")
 
 
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* Print list 03-71 per reconciliation date. Match the total amount with the balance in account payable.
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* Print balance list in {{pth|Accounting|Reports}}/Purchase ledger per reconciliation date. Match the total amount with the balance in account payable.

Latest revision as of 13:45, 10 January 2019

  • Print balance list in Accounting: Reports/Purchase ledger per reconciliation date. Match the total amount with the balance in account payable.