Topic: Journal Entries / Deposits / Payments import csv
I cant understand the use of reference in Journal Entries / Deposits / Payments entry.
when i am importing Deposits / Payments from CSV file data go to one table(bank_trans)
and the gl_trans table is unchanged. but if i enter a payment or deposits one record go to bank_trans table and two record go to gl_trans table. so in the gl_trans table the entry is balance. in case of importing data from csv the gl_trans table is unchange.
please help me for importing.