gnucash reconcile

相關問題 & 資訊整理

gnucash reconcile

The reconciliation windows are used to reconcile a GnuCash account with a statement that a bank or other institution has sent you. Reconciliation is useful not ... ,Reconciliation of Accounts in GnuCash with statements from a bank or other institution is a way of double checking the accuracy of your (and your banks) ... ,In the GnuCash register there is a column labeled R. This field indicates the status of a transaction. Possible values are: n. No. This is the default status ... ,GnuCash makes reconciliation of your bank account with your monthly bank statement much easier. Section 2.9.4, “Reconciliation” gives instructions on how to ... ,沒有這個頁面的資訊。,Pressing the OK button will open a Reconcile window allowing you to compare deposit and withdrawal transactions to your statement. 4.5.1.1. Reconcile - Window. ,[Reconcile]. 科目對帳讓使用者核對已輸入的交易資料與銀行的對帳單。這能有效的找出沒記錄到的交易或輸入錯誤,並確保你的記帳本跟銀行的資料是一致的。 透過GnuCash ... ,沒有這個頁面的資訊。,The Interest Payment window might be opened automatically when you start a reconciliation for an account of the type Bank, Credit, Mutual, Asset, Receivable, ... ,With reconciliation function, you can reconcile your credit card account and make sure there are no ...

相關軟體 GnuCash 資訊

GnuCash
GnuCash 是個人和小企業的財務會計軟件,GNU GPL 免費授權,可用於 GNU / Linux,BSD,Solaris,Mac OS X 和 Microsoft Windows.6235896 設計易於使用,但功能強大而靈活,GnuCash 允許你跟踪銀行賬戶,股票,收入和支出。作為支票簿的快速和直觀的使用,它是基於專業的會計原則,以確保平衡的書籍和準確的報告。GnuCash 特點: 複式... GnuCash 軟體介紹

gnucash reconcile 相關參考資料
4.4. Reconciliation - GnuCash

The reconciliation windows are used to reconcile a GnuCash account with a statement that a bank or other institution has sent you. Reconciliation is useful not ...

https://cvs.gnucash.org

5.8. Reconciling an Account to a Statement - GnuCash

Reconciliation of Accounts in GnuCash with statements from a bank or other institution is a way of double checking the accuracy of your (and your banks) ...

https://www.gnucash.org

6.11. Setting the reconcile status (R field) of a transaction

In the GnuCash register there is a column labeled R. This field indicates the status of a transaction. Possible values are: n. No. This is the default status ...

https://www.gnucash.org

5.4. Reconciling Your Accounts - GnuCash

GnuCash makes reconciliation of your bank account with your monthly bank statement much easier. Section 2.9.4, “Reconciliation” gives instructions on how to ...

https://www.gnucash.org

reconcile - GnuCash

沒有這個頁面的資訊。

https://www.gnucash.org

4.5. Reconcile Window - GnuCash

Pressing the OK button will open a Reconcile window allowing you to compare deposit and withdrawal transactions to your statement. 4.5.1.1. Reconcile - Window.

https://www.gnucash.org

功能

[Reconcile]. 科目對帳讓使用者核對已輸入的交易資料與銀行的對帳單。這能有效的找出沒記錄到的交易或輸入錯誤,並確保你的記帳本跟銀行的資料是一致的。 透過GnuCash ...

https://www.gnucash.org

https:www.gnucash.orgdocsv3Cgnucash-helptra...

沒有這個頁面的資訊。

https://www.gnucash.org

2.9. Transactions - GnuCash

The Interest Payment window might be opened automatically when you start a reconciliation for an account of the type Bank, Credit, Mutual, Asset, Receivable, ...

https://www.gnucash.org

GnuCash for Personal Finance: Reconciliation - YouTube

With reconciliation function, you can reconcile your credit card account and make sure there are no ...

https://www.youtube.com