Payroll – Ledger Entry

This explains how to manage Payroll when using the old Bank Matching. Basically you clone the Ledger Entry from the previous month and overwrite the details. This will update the Dimension Tag balances that you match to in Bank Matching.

 

Payroll Ledger Entry

 

Editing tips with Grid View Editor

Leave a Reply

Your email address will not be published. Required fields are marked *