Accounts payable 331 account to the seller. To check the account number 331 on the balance sheet arise, they must check with liabilities aggregated tables are output from Omega software or account details window 331.
The checking account is the same as 131 but the referee Clause 131 is to be the customer's account 331 is also payable when the inspection should be checked with the general Ledger account liabilities of 331 and if there are errors, the test data with aggregate expenditures window details of liabilities.
the case is due to wrong data may be in the process of forgetting associated input object code in synthetic stock is warehoused or not incorporating code. Sometimes, it may coincide code between 131 and 331 accounts.
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