Fix problematic <a id=""> tags.
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@ -1,7 +1,7 @@
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As an accountant that collaborates with other accountants I need:
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<a id="simultaneous-ledger-edits"/>
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- Simultaneous editing of the same ledger
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- <a id="simultaneous-ledger-edits">Simultaneous editing of the same ledger</a>
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- FIXME: this should probably be stated differently: In the case of decentralized ledgers, such as ledger-cli files shared via DVCS
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- Easy synchronization of entries from separate ledgers
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@ -5,13 +5,13 @@ As an US-based NPO I need a way to *generate reports* in order to:
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The usual reports an NPO is expected to generate, and all of these should be generatable for any given date period:
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- <a id="trial-balance"/> [Trial balance](http://en.wikipedia.org/wiki/Trial_balance)
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- <a id="bank-reconciliation"/> [Bank Reconciliation Report](http://en.wikipedia.org/wiki/Bank_reconciliation)
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- <a id="trial-balance"></a>[Trial balance](http://en.wikipedia.org/wiki/Trial_balance)
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- <a id="bank-reconciliation"></a> [Bank Reconciliation Report](http://en.wikipedia.org/wiki/Bank_reconciliation)
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+ This report often needs to be generated with input from the user, since [the subset sum problem](http://en.wikipedia.org/wiki/Subset_sum_problem) is [NP-complete](http://en.wikipedia.org/wiki/NP-complete), human intervention is often needed to identify the specific transactions to show on this report.
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- <a id="chart-of-accounts"/> [Chart of accounts](http://en.wikipedia.org/wiki/Chart_of_accounts)
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- <a id="cash-disbursements"/> Cash Disbursements Journal
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- <a id="income-report"/> Income Report (just a list/sum of all Income accounts for a period)
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- <a id="expenses-report"/> Expenses Report (just a list/sum of all Expenses accounts for a period)
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- <a id="chart-of-accounts"></a> [Chart of accounts](http://en.wikipedia.org/wiki/Chart_of_accounts)
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- <a id="cash-disbursements">Cash Disbursements Journal</a>
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- <a id="income-report">Income Report</a> (just a list/sum of all Income accounts for a period)
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- <a id="expenses-report">Expenses Report</a> (just a list/sum of all Expenses accounts for a period)
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- [[Fund Report|UseCases/FundAccounting#FundReport]]
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Also, To handle [[UseCases/FundAccounting]] all of these reports should be generatable narrowed to specific funds.
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@ -5,8 +5,8 @@ of uses. While the ability to impose a specific workflow (e.g., for a
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bookkeeper who might make an error easily if the system doesn't require a
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workflow), the workflow should not be dictated.
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## The "Unaccrued Invoice" Example
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<a id="unaccrued-invoice"/>
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## <a id="unaccrued-invoice">The "Unaccrued Invoice" Example</a>
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The easiest example I have of this relates to accruing income upon invoice
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generation. Non-profits very typically generate invoices as part of a
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