There are two methods of capturing the General Ledger information at start-up.
Manually enter the required data information in the following start-up sequence:
* After loading start-up Accounts Receivable and Accounts Payable sub-ledger open invoice records, the A/R and the A/P control account opening balances should be loaded with the other starting G/L account balances using Miscellaneous G/L Journals and then posted using Post Miscellaneous Journal Entries.
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