The Accounting Entries 2 routine adds entries and performs their maintenance, enabling you to view data better when multiple currencies and multiple entities are used.
In the interface of manual accounting entries, you can view:
Procedures
Adding an accounting entry:
1. In Accounting Entries 2, click Add.
2. Fill out data according to fieldhelp instructions.
3. Check data and Confirm them.
The entry screen is displayed.
4. Fill out data according to field help instructions.
5. Check data and Confirm them.
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