Difference between revisions of "Translations:Internal reconciliations/3/en"
From Marathon Documentation
(Importing a new version from external source) |
|||
Line 1: | Line 1: | ||
+ | Internal reconciliations is a tool to check internal dealings. |
||
− | I Avstämning mellan bolag stämmer man av interna mellanhavanden. |
||
+ | For example, you can see if an invoice from company A has arrived in company B and if the remaining amount is the same. You can also see liabilities and receivables between companies booked on special balance sheet accounts. |
||
− | Man ser t ex om en faktura som är skickad från bolag A finns i bolag B och om det är samma restbelopp. Man kan också se skulder och fordringar mellan bolag som är bokförda på speciella balanskonton. |
Revision as of 10:34, 13 October 2017
Internal reconciliations is a tool to check internal dealings. For example, you can see if an invoice from company A has arrived in company B and if the remaining amount is the same. You can also see liabilities and receivables between companies booked on special balance sheet accounts.