Banking Addons - Default partner journal accounts for bank transactions
This module allows to set alternative journal accounts on partners to use as default accounts in imported bank statements.
This is useful when regular transactions on clearing accounts occur. Such clearing accounts cannot usually be selected as default partner accounts because they are neither of type 'payable' nor 'receivable' (or at least never at the same time!). For the alternative journal accounts for bank transactions, any reconcilable account can be selected.
When a transaction matches a specific move in the system, the account from the move line takes still precedence so as not to impede reconciliation.
Once the user has seen at least one product this snippet will be visible.