Bayt.com Specialities

Expand your network. Exchange professional knowledge.
Demonstrate your expertise.

nabinkumardey
Question added by Nabin Kumar Dey Dey Nabin Kumar, Assistant Manager-Accounts Payable, Natlass Asia Construction Pvt. Ltd - 9 years ago

How do we perform the AP subsidiary books reconciliation with AP GL at the month end?Traditional way please.

Month End

End to end

Year End Close

Fixed Assets

Bank Reconciliation

Answers:
1
Followers:
1
Views:
8
Vote Count:
0

Log In

Don't have an account? Register here


OR

Bayt.com never shares any of your activities through Facebook or Google without your explicit permission.