Skip to main content

Add Creditors Cashbook

Create a new cashbook

Adding New Cash Book

Click Add to create a new cash book

image.png

Attachments
Create Reminder
Allocate
Insert Template  
Save As Template
Print
Export Cash Book

Cash Book Details

image.png

Cash Book Number
Cash Book Date
Cash Book Name  
Reference
Branch
Copy Reference 
Copy Previous Line Description
Increment Reference
Bank Accounts
Cash Book Type
Short Description
Long Description

Cash Book Line

image.png

Add
Add Split
Edit  
Delete
Convert To Split

Cash Book Adding Line

Creditors payments can be captured separately in the creditor's cashbook

 

this is ideal for Creditors Clerks who deal with creditors only

image.png

image.png

Cash Book Type
Line Date Transaction date
Reference  Add reference
Creditor Select Creditor being paid
Entry Type Entry Type will be Payment (Money going out of the selected bank account)
Amount The Amount being paid
VAT Account
VAT Type
Description Enter Description for this transaction
Additional Comment
Debtor Link
Branch

In the next window you can select the divisions , GL Group, Projects and Add the discount function if applicable

When you tick the discount box – you will be required to add the transaction action

You can select from the drop down list

Then click Next to go to the Allocations Window or Alternatively Save and close

image.png

Cost Centres:
Region
Division  
Job Allocation
Job Type
GL Group
Project
Job Service Item
Settlement Discount:
Discount
Transaction Action
Document Currency
Settlement Amount
Currency:
Bank Exchange Rate
Exchange Rate
Document Currency
Bank Currency
Local Currency
Document Amount

image.png

Category  


Add Split

image.png

image.png

Create Reminder
Attachments
Import Split Lines  
Print

image.png

Bank Account
Cash Book Date
Reference  
Description
Branch
Copy Reference Tick
Copy Description Tick

Adding New Line in Cash Book Split

After Clicking Add

Fill in the information on the first 2 pages same as in Cash Book Adding Line on the 3rd page in Cash Book Split you can Seach and Allocate.

image.png

A list of available transactions against this client will be listed

Select one that you want to allocate this captured payment to and add the amount

You can manually type in the amount

When you have entered the amount remember to save Allocations before closing this window

image.png

The Message below will come up after saving

image.png

The cashbook can be authorized and processed

image.png