-
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
Reconcile a manually registered supplier payment
When you have Registered a payment for a bill, that payment will be credited under outstanding payments accounts, once it is reconciled outstanding payment will be debited and relevant bank account will be credited.
Also there will be a tag mentioned as IN PAYMENT
01. Go to the relevant bank account and click "RECONCILE XX ITEMS"
02. Look for the relevant feed and search for the related outstanding payment. You can paste the bill number & search for relevant journal item under math existing entries
03. . Now you can click on the transaction and click VALIDATE. Once you have validated, the bill will be updated with the paid tag
Rating
0
0
Views | |
---|---|
63 | Total Views |
1 | Members Views |
62 | Public Views |