On Monday, July 6, 2015 at 9:20:04 PM UTC+10, Cédric Krier wrote: > > On 2015-07-06 03:04, Vincent Bastos wrote: > > Hi, > > > > I was wondering how I am supposed to reconcile my bank statements? > > The module account_statement > > Thanks Cedric,
I was also wondering how to handle the process of "daily banking". I think that perhaps this is what the account payment clearing module is for? Daily banking is basically at the end of the day confirm what payment entries created are posted ( I think posted is the term used for the state ). Is this right?
