Commit Graph

10 Commits

Author SHA1 Message Date
Jonathan Castillo
a66c9519c9 [IMP] accounting: add new version of doc about reconciliation models
- redirection: configure -> reconciliation_models
2020-04-28 12:46:40 +02:00
Jonathan
7ddb80155a
[MOV] accounting: remove "how to...?" from the titles (#599) 2020-03-23 13:45:05 +01:00
Jonathan Castillo (jcs)
e477b619b9 [ADD] Accounting: Bank Statements and remove old documentation
There were several documentation pages in the accounting chapter that were explaining how to import bank files or how to record them manually. This new documentation replaces them all.
2020-03-16 16:23:06 +01:00
Jonathan
824105a55d
[IMP] accounting: update bank sync documentation 2020-02-03 15:44:34 +01:00
Antoine Vandevenne (anv)
93e407da5c [REF] *: replace tabs by spaces
This commits replaces all tabs by spaces to avoid further compilation issues.
2020-01-15 10:52:05 +01:00
dmitrysomov
b601dbd0de [IMP] accounting: review wording and fix typos 2019-08-29 16:44:24 +02:00
Yoshi Tashiro
351a9b2070 [FIX] accounting: Fix typo 2017-10-17 11:33:20 +02:00
Martin Trigaux
817440ecd4 [ADD] accounting: Configure model of entries
https://docs.google.com/document/d/1y3jALKK52vaXUuUJnkQrdK3qW9zv4dY9oVGmMmC23Kk/edit#
2015-10-29 11:55:20 +01:00
Martin Trigaux
ba5dacd872 [ADD] accounting: Use cases in the bank reconciliation process?
https://docs.google.com/document/d/1XTH1uoLoVQDcC6qy9kCC0EgG5C7xBbXwM26Qn6cfYpA/edit#
2015-10-29 11:38:14 +01:00
Martin Trigaux
9dc87406c0 [ADD] accounting: When should I use supplier bills or purchase receipts?
https://docs.google.com/document/d/1rb6yiFB6d4BU-lhH1eHyqq7q-9w2HaxT04vbehc6tcI/edit#heading=h.w8bu48g6z8cy
2015-10-20 11:50:45 +02:00