Hello friends!
Okay, I have a doubt when closing the cash flow, we know we open on the day, and we close the other day, I'm finalizing a Bank regarding the subject I can not.
Doubts:
1- By closing and opening, I would like to know if possible
the balance, input m, and the debits, depending on the value, if it is possible to lock the daily or monthly closing, who can clarify me I am grateful.
Note: I have ready forms, tables, consultations, who can help me I am very grateful.
2-The Form you would like to do is the "FrmAberturaCaixa".
Who can escecerecer me while I wait.
Note: I am sending the database for analysis and suggestions.