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In this entry we will see the 3  bank reconciliation methods

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Method 1 - “REGISTER PAYMENT” BUTTON  (if you do not handle accounting in Odoo)

  • Create a vendor bill 

  • Click on the button Register Payment on the bill and validate the payment in the pop up window

  • Click on the little « i » next to the « Paid on »
    to see the details about the reconciliation 

  • Create a payment ( Invoicing > Vendors > Payment)

  • Create a vendor bill

Method 2 (Bank Statement)

  • Create a vendor bill as explained before

  • Create a bank statement by going to the Accounting app’s dashboard  

  • Add a line and fill the information with the right Partner and don’t forget to put a « - » in front of the amount of the bill as it represents money going OUT

  • Click on the green button Reconcile

  • A new window appears where you would select
    more bills to reconcile

  • Notice that the line is in BLACK

  • Validate the reconciliation via the button

Method 3 (= Method 1 & 2) (if you handle all the accounting in Odoo)

  • create a Vendor Bill and click on the Register Payment button

  • Create a bank statement as explained

  • Again, add a line with a negative amount

  • Reconcile with the green button Reconcile

  • Notice that the line is BLUE

  • A BLACK line means that the journal entries still need to be created
  • A BLUE line informs us that the payment has already been registered and, thus, that the journal entries have been already created
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may I ask, are those only in Enterprise Edition?

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