Differences
This shows you the differences between two versions of the page.
Both sides previous revision Previous revision Next revision | Previous revision | ||
cats:procedures:accounting:banktransfer [2018/07/26 17:06] – jen | cats:procedures:accounting:banktransfer [2018/08/14 14:19] (current) – [Menu Options] jen | ||
---|---|---|---|
Line 11: | Line 11: | ||
* Modify - Modify the transaction. | * Modify - Modify the transaction. | ||
* Post - Post the transaction. | * Post - Post the transaction. | ||
- | * Ledger Scan - Ledger | + | * Ledger Scan - [[cats: |
- | * Delete - Delete transaction. | + | * Delete - Delete |
- | * | + | * Exit - Press Exit to return to the home screen. |
====Add Bank Transfer==== | ====Add Bank Transfer==== | ||
- | Select **Add** to add a bank transfer. | + | Select **Add** to add a bank transfer. Select the bank account for the deposit and disbursement. Select **Apply** to continue. |
[{{: | [{{: | ||
- | Select | + | Enter the bank transfer transaction information. **Date, Cash transaction No, and G/L Transfer Acct,** will auto-fill based on the bank info you entered. Enter **Check/Ref No and Amount** |
[{{: | [{{: | ||
+ | Next, you will see details of the transaction. | ||
+ | [{{: | ||
+ | - This is the bank deposit summary. For bank transfers, it starts at zero. | ||
+ | - The final number received in bank account. | ||
+ | - The transfer account (negative). | ||
+ | - Funds coming out of the 1st bank. | ||
+ | - The transfer account (positive). | ||
+ | Press **Exit** to return to the home screen. | ||