Why Bank balance on Supplier payment is different than Actual Bank Balance?

Varadharaj V

Nov 01, 2022 - 2 mins read

When you are doing a Supplier payment, The system shows respective opening balance on the date, Which means the system doesnt consider the balance of the same date. It gets the balance of previous date balance. Which is not same as the closing balance of Entry date. 

In short, the balance which is showing there is an opening balance of that date. not the balance on that date.

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