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Sander van der Heyden
Based on feedback from a few Organisations, I was thinking that they would do accounting only at the office level or at the Organization level (not at every Hierarchy like an Area office or a Branch Office)
So we initially added only the running balances for each office (and can also add the running balance at an organization level if required using the same logic. So we would be adding another column for capturing the derived running balance of the account at an organizational level)
We can also update the journal entry API to return the same (return the running balance for the office in which the entry was made and the running balance for the entire organization)
If you can confirm these are the only changes you are looking for, we will have the same done early next week
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