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Bookkeeping
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Bookkeeping
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Bank Reconciliation
The Bank Reconciliation module can be accessed by selecting Main > Data Entry > Cashbook or Bank Reconciliation from the menu bar. By default, the module will open on the Cashbook window. To access bank reconciliation from, click...
Updated on : 26 Jun 2024
Supplier Statement Reconciliation
Marlin GTX enables users to compare and reconcile supplier statements with their recorded transactions, using the Supplier Statement Reconciliation module. The Supplier Statement Reconciliation module also enables users to: Record note...
Updated on : 11 Feb 2025
Bad Debts
Marlin GTX enables bad debts to be written-off and recorded using the Journal Entry and Receipt Entry modules. If attempting to collect debts becomes impractical or futile, they are usually written off as losses. This situation can occur due...
Updated on : 28 Jun 2024