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      Creating a consolidated entry in the trial balance table for each day with the aggregation of all journal entries for that given day by grouping by GL account, branch, transaction date and updating the closing balance. As for which the results can be used for any reporting service or MIS requirements of MFIs or for merely reconciliation requirements

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            • Assignee:
              santoshmath Santosh Math
              Reporter:
              kumaranath_fernando Kumaranath Fernando
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