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afakalas

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Posts posted by afakalas

  1. Hi TR6-87,

     

    How we practice here, we dont instantly assign payment into Exp.Invoice right after our customers made payment..

     

    We draw Bank Statement at end of each month (day 25-30) and compare it with our internal record..

    Then only after that we key in payments to Exp.Invoice and then issue Statement to our customers..

     

    Hopefully this might help

     

    Thanks

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