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Updates for the Analysis Of Auxiliary Cashboxes report #6169
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The OHADA accounting system, advocates the use of transfer accounts, take the example of IMCK Tshikaji which has HBB and PAX, at the time of collection if the money comes out of the PAX cashier, this money will have to be placed in an account transfer and not in the main cashier, and when the money arrives at HBB it will be necessary to empty the transfer accounts, which is why the table is subdivided into three parts, |
@jmcameron With the BHIMA system during payment at the cash register, the system automatically chooses the cash register to use in relation to each currency, and this report being a tool for monitoring the activities of the auxiliary cashbox registers, it is necessary to track the movement in each cashbox against currency |
- Use Singular for the name of report - Set a legend above the title - Update data.sql fix combinaison of account - currency and cashbox closes Third-Culture-Software#6169
@lomamech Thanks for the explanations! |
Finance > Report > Analysis Of Auxiliary Cashboxes
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Analysis of Auxiliary Cashbox (leaving the menu item in plural is okay).
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