There should be a functionality to enter bank deposits and allocate it to different General Ledger revenue codes. For example, a user debits bank for $100,000 and distribute it into several revenue accounts. A user may not use the AR module. This impacts how the non-profit organization use the application. The user can enter in GL, then bank reconciliation becomes an issue.
by: Jacqueline L. | over a year ago | Financial Management
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