-
Accounting Dashboard
-
General Accounting Set up
-
Chart of Accounts
-
Day to Day Transactions
-
Sales
-
Banks & Bank Reconciliations
-
Fixed Assets
-
Year/Month End
-
Reports
-
Purchase Order approval
-
POS
-
Purchasing
-
Non stock purchasing
-
Expense Module
-
Shopify Sales
-
Invoice Reminders
-
Customer Statements
-
Tax
-
Supplier Batch Payment
-
Product Categories
-
Inventory Valuation Journals
-
Analytic Accounts
How to process an ABA batch payment
The first step of processing ABA batch payment is configuring BSB number and Account number. And then the correct bank account should be selected.
ABA Credit Transfer
ABA Credit Transfer
In the Accounting module go to Venders tab add select Bills.
Select the bills you need to do the payment then click on register payment.
Once you click on Register Payment, Register payment pop up menu will appear. Feed the required details
- Journal: Select the correct bank account.
- Payment Method: ABA Credit Transfer
- Date: Select the date of transaction
Finally click create payment.
ABA Batch Payment
Go to payments in Vender tab.
Select the ABA credit transfers you need to make the batch payments, Click on create batch and then validate
Once you click validate you can see the ABA file in log notes.
You can download it and view in details
Rating
0
0
Views | |
---|---|
65 | Total Views |
1 | Members Views |
64 | Public Views |