Import Accounting Entries
Get linked pickings for each account move line.
Adds a Journal Items menu
Filter your Journal Items per payable and receivable account
Enable line position number and link from purchase or sale order.
Manually reconcile Journal Items
Adds start and end dates in the XLS export of the move lines
Allow filter unreconciled journal entry lines only by no matching number
Journal Items Excel export
Allow to transfer amount to other companies
Generate journal entry number from sequence
Trace journal entry posting date and user.
Adds the option to print Journal Entries
Show reconcile date of bank statement for account move.