Search HansaManuals.com HansaManuals Home >> Standard ERP >> Nominal Ledger >> Reports Предыдущая Следующая Вариант всей главы для печати Поиск Данный текст относится к версии программы 5.3 Corresponding Accounts This report shows how each Account posting in the selected period has been balanced. For example, where an Account has been used on the credit side of a Transaction, this report will show the Account(s) used on the debit side, with amounts posted. The balancing Accounts are termed 'Corresponding Accounts'.In complex transactions, where, for example, the first two lines are debit Accounts and there are then several credit lines, you should establish correspondence manually using the Corr field on flip F of each Transaction row.
|