Across 5 subsidiaries, we've imported 12 JE's for ...
# accounting
d
Across 5 subsidiaries, we've imported 12 JE's for each year going back to 2015. The Import Banking statement is jam packed with these floating balances from the JE's into the bank accounts. Any thoughts on how to clear them off without having to somehow import fake bank statements to match them up and clear them off? Something about this does not seem right.