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Multi-company Reconciliation reportunavailable in ajeraCore Use this report to see the entries behind the account totals for your intercompany accounts. The report supplies you with the intercompany account detail necessary to reconcile funds between companies. The report sorts by company and then breaks out company account totals by other companies. It prints your due-to and due-from accounts using accrual basis. For example, Company 1 has a $4,207 activity in its Intercompany Due From account for May. By using this report, you can drill into the detail and see that $3,060 of that total is due from Company 2 and $1,146 from Company 3. You can drill further to see project information, session, and session detail. AudienceAccounting CPA Producing the report
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