Question

Account Matching - Intercompany & accounts

  • 8 March 2021
  • 0 replies
  • 114 views

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We have G/l accounts that balance between entities each month.  They are different g/l code numbers depending on the entity.

 

Is it possible to match of transactions between these so that reconcilliation at end of month is easier?

 

We usually have a balance that needs investigated to work out what it is etc, be good if we could match off and see exactly what any issues are 


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