Hi All,
can any one share how to capture the below accounts or map to apps we are implementing the core financials to the client except FA
loans,Captial accounts,unsecured loans ,paid up captial,share premium,vechicle loans, foreign bill discounts. provisions,stamp duties, land A/cc investment account,cash in hand dividends and bonuses and share investments
how can we enetr with out manual JE at GL any way set up the above a/c subledgers the opening of this balances to meet the client current balance sheet.
if i can enter the manaual JV for this what is the Dr/Cr........
tell me u r views to map this things at apps
thanks in advance
accounting entries required
-
- Posts: 58
- Joined: Mon Jun 02, 2008 7:24 am
- Location: India
-
- Posts: 58
- Joined: Mon Jun 02, 2008 7:24 am
- Location: India
Who is online
Users browsing this forum: No registered users and 1 guest