Overview
Excerpt |
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The only entries to be entered through the cashbook as |
bank payments are those that appear on a Bank Statement that are not |
supplier |
related payments and the bank account is not going to be reconciled and you don't have bank reconcilation rules set up for when importing bank statement. |
Getting Started
Child pages (Children Display) | ||
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Reference
Buttons
Refer to Common Buttons.
Image | Field | Description |
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Import Payroll | Import a KeyPay payroll file to automatically populate this bank payment | |
Generate Recurrence | Generate a new bank payment from the current one |
Fields
Field | Description |
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Type | This is the transaction type for this Bank Payment (CBKPAY) |
Number | The unique number for the transaction of this Bank Payment |
Status | The transactions current status |
Date | The date and time of creation of Bank Payments |
Tender | This is the tender for this bank payment |
Account | This is the account site for this bank payment |
Description | This field contains a description of the bank payment |
Tax Value | The tax value of the bank payment |
Value Inc Tax | The total value including tax |
Payee Bank | This is the bank for this bank payment |
Payee Branch | Key in the branch |
Payment Reference | This is the payment reference for the bank payment |
Lines tab
Field | Description |
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Account Site | |
Description | |
Value Inc Tax |
This is the total value of the line, including tax | |
Tax Code | |
Tax Value |
Dissections
Field | Description |
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Account Site | |
Debit Value | This is the debit value of the dissection |
Credit Value | This field shows the credit value for this dissection |
Narrative | The narrative for the dissection |
Description | This field contains a description of the dissection |
Line Details
Field | Description |
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Value Ex Tax |
General Tab
Field | Description |
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Site | |
Period | |
Value Ex Tax | |
Recurrence Of | |
Recurrence | |
Type |