Golgappa.net | Golgappa.org | BagIndia.net | BodyIndia.Com | CabIndia.net | CarsBikes.net | CarsBikes.org | CashIndia.net | ConsumerIndia.net | CookingIndia.net | DataIndia.net | DealIndia.net | EmailIndia.net | FirstTablet.com | FirstTourist.com | ForsaleIndia.net | IndiaBody.Com | IndiaCab.net | IndiaCash.net | IndiaModel.net | KidForum.net | OfficeIndia.net | PaysIndia.com | RestaurantIndia.net | RestaurantsIndia.net | SaleForum.net | SellForum.net | SoldIndia.com | StarIndia.net | TomatoCab.com | TomatoCabs.com | TownIndia.com
Interested to Buy Any Domain ? << Click Here >> for more details...

How many reporting Set of Books can be attached to one
primary Set of Books

Answer Posted / hassain

maximum we can 8sob attached to our primary set of book...

Is This Answer Correct ?    0 Yes 0 No



Post New Answer       View All Answers


Please Help Members By Posting Answers For Below Questions

There is employee X and employee Y (who is supervisor of X); when Y submits expenses how will the system ensures that this should not go to X even if he has the approval authority.

5328


Payables Applications Technical Reference Manual

2479


payment types and payment methods.

1904


can we define 2 different currency revaluation at a time??

2313


How to do the analysis of discounts lost and fixing the root cause?

1136


What kind of necessary ap information you gather from the client?

1068


What is the use of hr: user type, while configure multiorg?

1074


What do you mean by controlling buyers workload?

10161


Define the activities of the Configuration Manager (AP,GL,FA) in the team. Give examples

2504


I have created an invoice and made the payment in Accounts payable. Now the payment status is Negotiable and accounting status is processed. I reconciled the transaction in Cash Mgmt, The status changed from negotiable to Reconciled in CM. I checked the payment status for the invoice in payment window(AP), the payment status changed to RECONCILED UNACCOUNTED i.e correct but the accounting status is remain processed which is not the correct. I hope the transaction will be correct if the accounting status would have changed to PERTIAL . Please suggest any solution for the above query.

5294


Charge Back Setups ?

2177


what is the difference between before pages trigger and after parameter trigger in reports ?

2384


Provide an overview of AR cash receipt processing.

2597


On what different real time issues you worked while doing P2P cycle implementation?

1493


can any one tell me what exactly functional consultant do on daily basis? client requirements?

936