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Accounting Dashboard
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General Accounting Set up
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Chart of Accounts
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Day to Day Transactions
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Sales
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Banks & Bank Reconciliations
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Fixed Assets
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Year/Month End
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Reports
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Purchase Order approval
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POS
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Purchasing
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Non stock purchasing
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Expense Module
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Shopify Sales
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Invoice Reminders
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Customer Statements
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Tax
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Supplier Batch Payment
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Product Categories
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Inventory Valuation Journals
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Analytic Accounts
How to reconcile a batch deposit
01. Go to the Accounting Dashboard >> Click on Reconcile xx items on relevant bank
02. Select the relevant feed and click on Batch Payments tab
03. Search with the batch deposit number in search bar
04.Once you click on the transaction you will see the breakdown of the outstanding payments which you have selected for this batch.
05. If you go back to the batch payments, the status would have been changed to Reconciled
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