Difference between revisions of "Reconcile Client Receivables"
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(Created page with "Category:Agency BillCategory:ReceivablesCategory:Cash The Reconcile Client Receivables interface is used to create GL-1120 client receivable cash against :Catego...") |
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[[Category:Agency Bill]][[Category:Receivables]][[Category:Cash]] | [[Category:Agency Bill]][[Category:Receivables]][[Category:Cash]] | ||
The Reconcile Client Receivables interface is used to create GL-1120 client receivable cash against [[:Category:Agency Bill|Agency Bill invoices]]. | The Reconcile Client Receivables interface is used to create GL-1120 client receivable cash against [[:Category:Agency Bill|Agency Bill invoices]]. | ||
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+ | See: [[Client Payment: Agency Bill Cash#Create an Agency Bill Payment - Multiple Invoices|Create an Agency Bill Payment - Multiple Invoices]] for more information. |
Revision as of 20:41, 14 October 2014
The Reconcile Client Receivables interface is used to create GL-1120 client receivable cash against Agency Bill invoices.
See: Create an Agency Bill Payment - Multiple Invoices for more information.