account_shared_bank_cash_au.../README.md

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Account Shared Bank Cash Auto Entry
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This module automatically creates and posts cash centralization entries between branch companies and the parent company based on the net cash movement of the previous day.
Key Features:
Run automatically every day at 12:00 PM WIB (05:00 AM UTC).
Calculates net cash balance of the default cash account (111103) from the previous day.
Accounts for vendor payments (from the vendor_payment_misc_auto_entry module) and other cash movements.
Automatically converts currencies if the parent and branch company currencies are different.
Generates and posts the corresponding intercompany journal entries in both companies.
Configuration:
Relies on the configuration set in the parent module "account_shared_bank_cash".
Configure the Parent Company, Parent Journal, and Intercompany accounts on the branch company's cash journal.