Please generate the below information for checking
Month | (A) GST Output Ledger Balance | (B) GST journal transfer to gst_Payable | (C) GST-03 Form 5b. | Diff between (A) - (B) | Diff between (A) - (C) | Diff between (B) - (C) | |||
---|---|---|---|---|---|---|---|---|---|
Debit / Credit | Amount | Date | Jtxn | Amount | Amount | ||||
(A) to get the data, go to : Accounting > Journal and Ledger > GL Listing : Select the company, date range: choose for glcode : gst_Output, click Detail View
(B) get the journal from acc_Payble glcode, same step as (A)
(C) to get the data, go to : Extended Module > Malaysia GST > GST Reports > GST-03 (GST Tax Return)
Please use the excel sheet for the data comparison