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Feature Details

Module: Cash and bank management
First Available In 10.0.40
Find out more at (No Link Provided)

Content Author Info

Created By Nathan Clouse
Created On 2024-06-23
Updated By Nathan Clouse
Update On 2024-06-23

This feature uses the latest exchange rate to post bank transactions in bank sub ledger. It fixes the reconciliation variance between general ledger and bank sub ledger.