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1.Create a loan product with accrual (periodic) as enabled and submit that loan product for a active client on 05 june 2014 with fortnighly (2 weeks once) repayment -> Approve -> disburse the loan. 2. Click on Accounting -> Run periodic accrual accounting -> run on 30 june 2014. 3. Navigate back to the loan transaction page in which unselect the checkbox hide accrual transactions in which accrued interest on 30 June 2014 is displayed. 4. Click on the journal entries -> search journal entries in which the accrued interest is displaying for 03 July 2014.
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