We have a scenario that in our client's business process, whenever there is a carrier invoice to be paid, the amount is maintained in a GL reserve account. As and when payements are due based on the payment terms, payments are made and the amounts are reconciled against this reserve.
Is is possible to maintain such a reserve account within OTM? If so, how can it be done.
Thanks
Regards
Divya Bhansali
Is is possible to maintain such a reserve account within OTM? If so, how can it be done.
Thanks
Regards
Divya Bhansali
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