Good morning
What is the next step after Ive captured previous receipts on the cash book for a specific period on Pastel 12?
Good morning
What is the next step after Ive captured previous receipts on the cash book for a specific period on Pastel 12?
I would say that you need to run your "Reconciation Assistant" to see that you reconcile with your bank statement.
Goto Process ... Bank Reconciation.
No act of kindness, no matter how small, is ever wasted. - Aesop "The Lion and the Mouse"
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