Kotharu Narayan
29th November 2003, 10:00
Hi!
Supplier reconciliation done for anticipated payment. Batch finalized. On verification of the report bank and creditors ledger accounts not posted. Any correction programme to rectify this??
Urgent solution highly appreciated.
Thanks.
Supplier reconciliation done for anticipated payment. Batch finalized. On verification of the report bank and creditors ledger accounts not posted. Any correction programme to rectify this??
Urgent solution highly appreciated.
Thanks.