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A Bank Transfer is a transfer of funds from one bank account to another. 
If you are paying off a Credit Card type of  bank account or transferring funds from one bank account to another you would insert a Bank Transfer.

Note:  Inserting a bank payment to transfer funds and dissecting it against a General Ledger bank account is incorrect.
You will only see one side of the transfer and that is the money out of the bank. The other side is a posting against the gl bank account selected .

Note

A system reference is set up with a default tender   If you make any changes to the tenders table please ensure to contact Readysell.
The default tender for bank transfer is usually DD.
The bank transfer contra account is also set . This general ledger account is not to be deleted once set in this table

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Getting Started

Child pages (Children Display)
pageGetting started with bank transfers

Reference

Buttons

Refer to Common Buttons.

Fields

FieldDescription
Type
 
This is the transaction type for this Bank Transfer (CBKTRN)
Number
 
The unique number for the transaction of this Bank Transfer
Status
 
The transactions current status
Date
 
The date and time of creation of Bank Transfer
From Account Site
 
This is the account site where the Bank transfer originated
To Account Site
 
This is the to account site for this bank transfer
Value
 
This field shows the value for the bank transfer
Description
 
This field contains a description of the bank transfer

General Tab

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FieldDescription
Site
 

Period
 

Bank Deposit
 

Bank Payment
 

 

 

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Log onto Readysell
Select Financials
Select General Ledger
Select One of the Views
Highlight one of the accounts in the Assets Area near Bank or whereever the site whichs to set up that account.
Click on Copy
Change the GL Account
Change the Description
Ensure that 'Is Bank' is OFF. Depending where in the chart the account is set up please ensure that the other fields are checked before saving the new account. 

Click on OK to Save 

2.System Reference:

  1. Log onto Readysell
  2. Select "
  3. "Administration'
  4. Select 'Advanced'
  5. Select "System Types"
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  6. Click on Name = 'Cashbook' Description = 'Cashbook Settings"
  7. Click on Code = Bank-Transfer-Contra-Account
  8. Ensure that the Contra account that was set up is inserted into the Description Field. (Making sure the Contra account is in the right part of the chart of accounts.)
  9. Click on 'Save'
  10. Click on Code = 'The ID of the tender use for the resultant transactions of bank transfers'
  11. Ensure that the correct tender type is inserted into the Description field
  12. Click on 'Save'

 

This is the bank payment for this bank transfer