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Inter bank fund transfer through manual operation

Inter bank fund transfer through manual operation


01. From the Accounting Dashboard, Click on Reconcile item on the fund transferring bank.



02. Select the relevant bank feed



03. Go to the Manual operation tab



04. Fill up the relevant details


  • Account: Liquidity Transfer
  • Tax: No GST


05. Click on validate




06. And then from the Accounting Dashboard, Click on Reconcile item on the fund recipient bank.



07. Select the relevant bank feed

08. Go to the Manual operation tab



09. Fill up the relevant details



  • Account: Liquidity Transfer
  • Tax: No GST


10. Click on validate




11. To check the recorded transactions for the inter bank transfer, go to reporting and select general ledger



12. Find the liquidity transfer account and there you will be able to see that the transection is debited for the transferring bank account and credited for the recipient bank account.



13.To view the journal entries of the transactions click on view journal entries and you will directed to journal entries of the particular transaction.


  

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