İçereği Atla
Menü
Bu soru işaretlendi
1 Cevapla
295 Görünümler

We often receive Customer Payments that take a while to track down the Customer.

These are normally international wires and it could take several weeks for either the Customer or the Sales person to let us know who the money belongs to.

What is the best way to record these payments and reconcile our bank statement and later move the money to the correct Customer?

Avatar
Vazgeç
En İyi Yanıt

Setup a Customer named "Unknown Customer" and reconcile these funds to your Accounts Receivable account.

Later, when you identify the actual Customer, you can update the Journal Item (only the AR part needs to be updated):


If this happens frequently enough you may want to create a reconcilation model to make things more efficient:

Avatar
Vazgeç
İlgili Gönderiler Cevaplar Görünümler Aktivite
0
Oca 25
1005
0
Haz 22
2090
0
Kas 17
2438
1
Eki 17
6980
1
Eyl 17
8362