Reconcile Client Receivables
Revision as of 20:05, 4 September 2014 by Mlively (Talk | contribs) (Created page with "Category:Agency BillCategory:ReceivablesCategory:Cash The Reconcile Client Receivables interface is used to create GL-1120 client receivable cash against :Catego...")
The Reconcile Client Receivables interface is used to create GL-1120 client receivable cash against Agency Bill invoices.