Add a reconciliation difference account
You add a ledger account for differences entered during the reconciliation. You link this ledger account in the settings.
To add a reconciliation journal:
- Go to: Financial / Ledger / Ledger account.
- Click on: New.
- Enter a code and description.
- Select Costs in Type of account.
- Select Other in Kind of account.
- Complete the remaining fields.
- Click on: Finish.
See also
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