documentation/content/applications/finance
“Dallas” bd40e87c94 [FIX] accounting:update internal transfers doc to 18.0
Internal transfers are now handled via reconciliation model button instead of through payments. This PR moves the internal transfers documentation from the Payments section to the Bank section and updates it to reflect the process in 18.0.

task-4331744

X-original-commit: cc6306277b
2025-01-17 12:57:42 +00:00
..
accounting [FIX] accounting:update internal transfers doc to 18.0 2025-01-17 12:57:42 +00:00
documents [IMP] documents: new changes in V17 2024-07-12 12:46:00 +00:00
expenses [ADD] Expenses: reinvoicing expenses 2024-08-16 05:18:57 +00:00
fiscal_localizations [IMP] accounting/l10n_uy: clarify onboarding 2025-01-15 19:32:13 +00:00
payment_providers [FIX] payment_providers/xendit: remove step to enable optional 3ds 2025-01-15 10:32:18 +00:00
accounting.rst [REF] inventory: valuation section 2024-09-03 22:59:33 +00:00
expenses.rst [ADD] Expenses: reinvoicing expenses 2024-08-16 05:18:57 +00:00
fiscal_localizations.rst [IMP] localizations: clarify, simplify and update the content 2024-11-20 18:46:42 +00:00
payment_providers.rst [FIX] accounting:update internal transfers doc to 18.0 2025-01-17 12:57:42 +00:00