Difference between revisions of "What should I consider at month end?"
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− | [[Vehicle Integration to Nominal Ledger#At the Month End|Month end Vehicle Integration to Nominal Ledger]] | + | *[[Vehicle Integration to Nominal Ledger#At the Month End|Month end Vehicle Integration to Nominal Ledger]] |
{{FAQ}}{{KB_Tags|Month, end, journals, accounting, vat, audits, daybook, bank}}{{KB_SL}}{{KB_PL}}{{KB_NL}}{{ZN_Accounts}} | {{FAQ}}{{KB_Tags|Month, end, journals, accounting, vat, audits, daybook, bank}}{{KB_SL}}{{KB_PL}}{{KB_NL}}{{ZN_Accounts}} |
Revision as of 14:14, 7 May 2008
Summary
The following steps are accounting procedures that need to be taken into consideration before embarking a month end procedure (e.g. Bank Reconciliation & Stock Journals etc.).
See How to process a month end.
See also