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Accounting Dashboard
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General Accounting Set up
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Analytic Accounts
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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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POS Reconciliations
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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
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Rebates
Foreign Inter bank transfers - (Between Foreign and Local)
Foreign Inter bank transfers - (Between Foreign and Local)
1. Select the relevant bank accounts from the accounting dashboard
2. Click on the three flow button on the sending bank account
3. Under the New column, go to internal transfers.
4. Update the details as required
5. And confirm the transfer
6. Now back in the accounting dashboard click on Reconcile XX Items in the sending bank
7. Select the bank feed for the internal transfer
8. Under the match existing entries search for the counter part entry for the transaction
9. Now click on validate.
10. Go back to the accounting dashboard, click on Reconcile XX Items in the receiving bank
11. Select the bank feed for the amount received
12. Search and select the counter part entry form match existing entry tab
13. Click on validate
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