Ganga Manoj 842ceb1301
fix: cannot reconcile bank transactions against internal transfer payment entries (#26932)
* fix: Only set Clearance Date for Payment Entries of type Internal Transfer if both Transactions have been reconciled

* fix: Reset clearance_date for intra-company Payment Entries that have only been reconciled with one Bank Transaction

* fix: indentation and args

Co-authored-by: Saqib <nextchamp.saqib@gmail.com>
Co-authored-by: Nabin Hait <nabinhait@gmail.com>
2021-08-25 20:32:26 +05:30
..
2021-06-10 15:07:39 +05:30
2021-06-10 15:07:39 +05:30
2021-06-10 15:07:39 +05:30
2021-06-10 15:07:39 +05:30