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The only entries to be entered through the cashbook as deposits/payments are those that appear on a Bank Statement that are not customer and supplier payments. EG Bank Fees, Interest Received, Till Variances,  Payments to non stock suppliers etc.
 

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Entering A Bank Deposit.

  1. Log onto Readysell 
  2. Select Financials
  3. Select Cashbook
  4. Select Bank Deposits
  5. Click on New 


    1. Enter the correct date as per the bank statement
    2. select the right bank account
    3. select the right tender
    4. enter a description of the deposit
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    Ensure the date you enter is the date that is on the bank statement
    1. Enter/Select Correct Tender ( if you are using the tender of cheque then  fill in the cheque details as per screen print below)
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    2. Enter a Description into the description field as to why you are making this Deposit
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  6. Tab down to the account site field and draw the correct gl expense account . eg till variance Interest Received = gl account of 80013 end of day banking variance90025 
  7. Enter another description if need be in the description field
  8. Enter the value of the deposit
  9. Select the correct gst account
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  10. To complete the deposit 
    1. Click on 'Finalise' to complete and exit out ORout 
      OR
    2. Click on 'Finalise and New' to complete and remain in the inserting a deposit window to commence another deposit entry.

 

Method 2:

  1. Log onto Readysell 
  2. Select Financials
  3. Select Cashbook
  4. Select Bank Deposits
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  5. Click On New (Top Left Hand side)
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  6. Make sure you enter the date that is on the Bank Statement into the Bank Deposit
  7. Enter/select the correct tender (if the tender is cheque then fill in the cheque details as per print below)
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  8. Enter a description as to why you are entering this bank deposit
  9. Tab down to 'Account site' select the correct gl expense account 
  10. Enter another description if need be
  11. Enter the value of the deposit
  12. Select the correct gst code
  13. To complete click on either:
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    1. Finalise to complete and exit out of the insert deposit window OR
    2. Finalise and New to complete this deposit and commence another deposit.