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The cheque will be paid prepaid toi stage is divided into two cases, it is.-The vendor has the Bill. -The sale will bring a report to compare amounts in the Bill. -If the amounts don't match, will reconcile vendors. If the vendor has a different amount supports document (such as a PO that ryder leads the order), it is believed the amount of vendor. -If we do, it will be the amount of the issuance by the amount of the cheque, we.-The vendor does not have a Bill. -Report the amount from the sale will bring out cheque, cheque issuance is due to pay out when it reaches ngiya without waiting for invoice billing comes, leaves. -If the amounts don't match, but it will reconcile vendors will not have the new cheque issuance but will lead to positive differences, or deducted from the amount that must be paid in the next installment of.
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