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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
How to attach a document at manual reconciliation
1. In the accounting module, select the relevant bank account from the dashboard and click on Reconcile XX items.
2. Select the bank feed that you are going to use for manual reconciliation
3. Go to manual operations tab
4. Click on UPLOAD YOUR FILE and select the file to attach.
5. Update other required details and click on Validate.
6. Now you can view this transaction from general ledger. For that go to reporting tab and general ledger and search for the account.
7. Click on view journal entry and then you can view the transaction details and in the log note the attachment will be available.
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