Difference between revisions of "Translations:Monthly closing reconciliation/61/en"

From Marathon Documentation
Jump to: navigation, search
(Importing a new version from external source)
Line 1: Line 1:
* Print the list in Classic 04-71-03 per reconciliation date and compare with the account in Classic 01-51. Don’t forget to summarize all sub accounts (242001, 242002 etc.)
+
* Print WIP list in periods in {{pth|Projects|Reports}} per reconciliation date and compare with the account in teh bookkeeping Don’t forget to summarize all sub accounts (242001, 242002 etc.)

Revision as of 14:50, 10 January 2019

Information about message (contribute)
This message has no documentation. If you know where or how this message is used, you can help other translators by adding documentation to this message.
Message definition (Monthly closing reconciliation)
* Print WIP list accounting period in {{pth|Projects|Reports}} per reconciliation date and compare with the account in the bookkeeping Don’t forget to summarize all sub accounts (242001, 242002 etc.)
Translation* Print WIP list in periods in {{pth|Projects|Reports}} per reconciliation date and compare with the account in teh bookkeeping Don’t forget to summarize all sub accounts (242001, 242002 etc.)
  • Print WIP list in periods in Projects: Reports per reconciliation date and compare with the account in teh bookkeeping Don’t forget to summarize all sub accounts (242001, 242002 etc.)