Subsidiary ledgers
Goal
Use the subsidiary-ledger framework for Special Accounts (and related capital/investment modules) with control-account mapping and setup catalogs.
Who it is for
subsidiary_ledgers.view; special members special_accounts.manage; setup subsidiary_ledgers.admin. Capital and investments have their own manage/admin permissions when those modules are on.
Preconditions
Optional module subsidiary_ledgers (and optionally capital_accounts / investments). Nav: Operations → Subsidiary Ledgers.
Steps — Special Accounts
- Open Special Accounts.
- New: Code, Name, Purpose.
- Record a Movement: direction in/out, amount, bank/cash, description.
- Maintain control accounts via API/UI framework as exposed for custom control↔GL mapping.
Steps — Setup
- Open Subsidiary ledgers setup.
- Set reconciliation cadence (days), require control account mapping, open-item matching, auto-close zero-balance, and ledger types catalog.
- Note: several flags are stored preferences; confirm behavior in your tenant before relying on them for controls.