Below are guideline(s) to make payment by director :
Step 1: Create a new director petty cash account
Go to Chart of Account (COA) >> add a new petty cash account under B62 - Cash with the director name
Step 2: Key in petty cash amount
Go to Payment Voucher (PV) >> General Ledger >> select the bank account >> choose "Petty Cash - Director" as Ledger A/C' >> key in the amount >> click "Add Item" >> click "Add New"
Step 3: Match payment
Go to Payment Voucher (PV) >> Supplier >> choose "Petty Cash - Director" as bank account >> choose the supplier >> key in amount to be apply >> apply the petty cash amount on the outstanding invoices >> click "Add New"
Step 4: Check balance
You can check the petty cash balance at general ledger report
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