Hi,
My accounts team place the incoming entries, When they get the Cheque from the customer. Once the Cheque cleared they have to reconcile it. How to do it?
Cheers,
Prabakaran R
Hi,
My accounts team place the incoming entries, When they get the Cheque from the customer. Once the Cheque cleared they have to reconcile it. How to do it?
Cheers,
Prabakaran R