Difference between revisions of "Reconcile Company Payables"

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[[Category:Agency Bill]][[Category:Payables]]
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[[Category:Agency Bill]][[Category:Payables]][[Category:Checks]]
 
The Reconcile Company Payables interface is used to create GL-2110 company payable checks against [[:Category:Agency Bill|Agency Bill invoices]].
 
The Reconcile Company Payables interface is used to create GL-2110 company payable checks against [[:Category:Agency Bill|Agency Bill invoices]].
  
 
See: [http://www.agencysystems.com/legacy-knowledgebase/item/46 Reconcile Company Payables (Agency Bill) for more information]
 
See: [http://www.agencysystems.com/legacy-knowledgebase/item/46 Reconcile Company Payables (Agency Bill) for more information]

Revision as of 17:32, 19 August 2014

The Reconcile Company Payables interface is used to create GL-2110 company payable checks against Agency Bill invoices.

See: Reconcile Company Payables (Agency Bill) for more information