Retail Term Money Journal Entry issue
Hi,
We are facing a problem in the Retail Term Money Transactions Journal Entry. We have setup the journals for Invest Data Type
Date Type Amount Type Action Code Bank GL Prin GL Int GL Debit/ Credit GL Account
ACCRUAL INTADJ REV Credit 101-000-22020070-0000-000-000-000
ACCRUAL INTADJ POS Debit 101-000-22020070-0000-000-000-000
ACCRUAL INTADJ REV Debit 101-101-90055010-5002-000-000-000
ACCRUAL INTADJ POS Credit 101-101-90055010-5002-000-000-000
COMENCE PRINFLW INCRSE * Credit
COMENCE PRINFLW INCRSE Debit 101-000-28050010-0000-000-000-000
SETTLE INTSET * Debit
SETTLE INTSET Credit 101-000-22020070-0000-000-000-000
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