842ceb1301
* 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>
Accounts module contains masters and transactions to manage a traditional double entry accounting system.
Accounting heads are called "Accounts" and they can be groups in a tree like "Chart of Accounts"
Entries are:
- Journal Entries
- Sales Invoice (Itemised)
- Purchase Invoice (Itemised)
All accounting entries are stored in the General Ledger