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	<title type="html"><![CDATA[FrontAccounting forum — Mismatch with payments]]></title>
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	<updated>2017-08-09T17:16:35Z</updated>
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			<title type="html"><![CDATA[Re: Mismatch with payments]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=28358#p28358" />
			<content type="html"><![CDATA[<p>As of the last day of the previous fiscal:<br />1. Make a dummy invoice for each vendor / customer trackable outstanding<br />2. Make a journal voucher for the rest of the balance sheet entries</p><p>For the first one above, you will be able to allocate payments in the current accounting year.</p><p>The current year invoices will now reflect their balances correctly.</p>]]></content>
			<author>
				<name><![CDATA[apmuthu]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=364</uri>
			</author>
			<updated>2017-08-09T17:16:35Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=28358#p28358</id>
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		<entry>
			<title type="html"><![CDATA[Mismatch with payments]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=28353#p28353" />
			<content type="html"><![CDATA[<p>Hi Guys,</p><p>Firstly how to i enter an opening balance?</p><p>also when i add an invoice, when i look at the accounts it shows it lot less than i have added it. Im just its something simple im doing, but some help would be great</p>]]></content>
			<author>
				<name><![CDATA[lewisbarnard]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=41590</uri>
			</author>
			<updated>2017-08-09T01:35:43Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=28353#p28353</id>
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