From 4b223fb9151951a69a36ae7aeaf08a8feebf7da7 Mon Sep 17 00:00:00 2001 From: Martin Trigaux Date: Fri, 30 Oct 2015 08:09:57 +0100 Subject: [PATCH] [IMP] accounting: remove TODO --- accounting/payables/pay/multiple.rst | 7 +++---- 1 file changed, 3 insertions(+), 4 deletions(-) diff --git a/accounting/payables/pay/multiple.rst b/accounting/payables/pay/multiple.rst index b13859f1a..c444bb0f2 100644 --- a/accounting/payables/pay/multiple.rst +++ b/accounting/payables/pay/multiple.rst @@ -147,10 +147,9 @@ model for cash discount. Now we are going back to bank statement and opening reconcile view. -.. todo: +.. seealso:: - For bank statement reconciliation with model option you can follow - following link + For bank statement reconciliation with model option, see - `*Configure model of entries* `__ + * :doc:`../../bank/reconciliation/configure`