Hi there,
I am developing an accounts package based on the Northwind template and I want to add a facility for printing statements at the end of each month.
I am wondering what is the conventional approach to this type of project.
Receipts,
create a new table for receipts?
Credit notes...
Hi there,
I am developing an accounts package based on the Northwind template and I want to add a facility for printing statements at the end of each month.
I am wondering what is the conventional approach to this type of project.
Receipts,
create a new table for receipts?
Credit notes...
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