All accounting entries are stored in the `General Ledger`
## Payment Ledger
Transactions on Receivable and Payable Account types will also be stored in `Payment Ledger`. This is so that payment reconciliation process only requires update on this ledger.
`debit` and `credit` have been replaced with `account_type` and `amount`. `against_voucher_no` is populated for all entries. So, outstanding amount can be calculated by summing up amount only using `against_voucher_no`.
Ex:
1. Consider an invoice for ₹100 and a partial payment of ₹80 against that invoice. Payment Ledger will have following entries.
| voucher_no | against_voucher_no | amount |
|------------|--------------------|--------|
| SINV-01 | SINV-01 | 100 |
| PAY-01 | SINV-01 | -80 |
2. Reconcile a Credit Note against an invoice using a Journal Entry
An invoice for ₹100 partially reconciled against a credit of ₹70 using a Journal Entry. Payment Ledger will have the following entries.