1234567891011121314151617181920212223242526272829303132333435 |
- # -*- encoding: utf-8 -*-
- {
- "name": "Bank and Cash Statement with Vouchers",
- "version": "2.0",
- "description": """
- Manage the bank/cash reconciliation with account vouchers (payments and receipts)
- =================================================================================
- The management of treasury require integrate the payments of customers and suppliers to bank statements, allowing real bank reconciliations.
- Key Features
- ------------
- * Add button on bank statement to add vouchers
- * Integrate the account vouchers with the bank statements
- * Optimize the payments and receipts in treasury management
- * Fix some features on bank statements to enable the bank reconciliation
- """,
- "author": "Cubic ERP/Rodney Enciso Arias",
- "website": "http://cubicERP.com",
- "category": "Financial",
- "depends": [
- "account",
- "account_voucher",
- "account_reference",
- ],
- "data": [
- "wizard/bank_statement_populate_view.xml",
- "account_view.xml",
- ],
- "demo_xml": [],
- "active": False,
- "installable": True,
- }
- # vim:expandtab:smartindent:tabstop=4:softtabstop=4:shiftwidth=4:
|