-
Accounting Dashboard
-
General Accounting Set up
-
Chart of Accounts
-
Day to Day Transactions
-
Sales
-
Banks & Bank Reconciliations
-
Fixed Assets
-
Year/Month End
-
Reports
-
Purchase Order approval
-
POS
-
Purchasing
-
Non stock purchasing
-
Expense Module
-
Shopify Sales
-
Invoice Reminders
-
Customer Statements
-
Tax
-
Supplier Batch Payment
-
Product Categories
-
Inventory Valuation Journals
-
Analytic Accounts
How to reconcile using reconciliation models
In Odoo we have following three reconciliation models,
01. Rule to match invoice/bills
02. Rule to suggest counterpart entry
03. Button to generate counterpart entry
Lets see how we can reconcile transactions through each of these models
Rule to match invoice/bills
01. Go to Accounting Dashboard >> Click on Reconcile xx items on relevant bank
02. Select a feed from the left corner
03. Immediately after selecting the feed, Odoo will pick the opposite entry based on the label details we have provided.
As we have marked the Matching field as Label, if the labels are matching, Odoo will pick the entry accordingly.
Rule to suggest counterpart entry
01. Go to Accounting Dashboard >> Click on Reconcile xx items on relevant bank
02. Select a feed from the left corner
03. Once you select the feed, based on the label and information provided under counter part entry, Odoo will suggest the entry
Button to generate counterpart entry
01. Go to Accounting Dashboard >> Click on Reconcile xx items on relevant bank
02. Select a feed from the left corner
03. There will be button with the model name on top left corner, and once you click on the button, according to the counterpart entry configurations, system will pick the relevant account and fill the transaction
Views | |
---|---|
75 | Total Views |
1 | Members Views |
74 | Public Views |