Finance Manual - [Tables, Maintenance, Banking, Cheques & Bill of exchange, Cheque & B/E accounts]
[Tables, Maintenance, Banking, Cheques & Bill of exchange, Cheque & B/E accounts]
Cheque & B/E code
Fill in a cheque & bill of exchange code.See Creating cheque and bill of
exchange codes.
Cheque & B/E status
A general ledger account can be linked to each status of each bill of
exchange code, if necessary. The status to which a general ledger account can be
linked is indicated in this field. There are three options: 'Received', 'To be
cashed' and 'To be discounted'.
If a cheque or bill of exchange changes status, and an account is linked to
that status, Exact Financials C/S will generate an automatic entry in the cheque
or bill of exchange journal after journalizing.
Example
Create separate links for 'Debtors bills of exchange
received', 'Debtors bills of exchange to be discounted', etc.
General ledger account
Fill in the general ledger account you want to link to the cheque & bill
of exchange code and to the status.
Finance Manual > Contents
> Working with cheques and bills of exchange > [Tables, Maintenance, Banking, Cheques & Bill of exchange, Cheque & B/E accounts]
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| Main Category: |
Support Product Know How |
Document Type: |
Online help main |
| Category: |
On-line help files |
Security level: |
All - 0 |
| Sub category: |
Details |
Document ID: |
06.841.006 |
| Assortment: |
Exact Financials (v3)
|
Date: |
04-10-2006 |
| Release: |
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Attachment: |
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| Disclaimer |