Cash Book Received Voucher v2: Difference between revisions
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+ | ==See Also== |
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+ | * [[Cash Book Payment Voucher v2]] |
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[[Category:Programmer]] |
[[Category:Programmer]] |
Revision as of 04:07, 18 May 2018
Rules in Cash Book Entry
- Net Total of the voucher must be positive;
- Net Total of the voucher must not be zero.
- Total Payment amounts must be tally with the total amounts in details.
References of AutoCount Accounting 2.0
AutoCount.Accounting.dll AutoCount.Accounting.UI.dll AutoCount.dll AutoCount.MainEntry.dll AutoCount.UI.dll AutoCount.GL.dll
Create new Cash Book Received Voucher
internal void NewReceivedVoucher(UserSession userSession, CashBookSource source)
{
AutoCount.GL.CashBook.CashBookCommand cmd =
AutoCount.GL.CashBook.CashBookCommand.Create(userSession, userSession.DBSetting);
AutoCount.GL.CashBook.CashBook doc = cmd.AddNew(AutoCount.GL.CashBook.CashBookType.CashReceipt);
AutoCount.GL.CashBook.CashBookPaymentDetail payment = null;
AutoCount.GL.CashBook.CashBookDetail cbdtl = null;
doc.ReceiveFrom = source.From;
doc.Description = source.Description;
doc.CurrencyCode = source.CurrencyCode;
doc.CurrencyRate = source.CurrencyRate;
doc.DocNo = source.VoucherNo;
doc.DocDate = source.VoucherDate;
foreach (ReceivedDetail pay in source.Payments)
{
payment = doc.AddPaymentDetail();
payment.PaymentMethod = pay.PaymentMethod;
payment.ChequeNo = pay.ChequeNo;
payment.BankCharge = pay.BankCharge;
payment.PaymentAmount = pay.Amount;
}
foreach (CashBookDetail dtl in source.Details)
{
cbdtl = doc.AddDetail();
cbdtl.AccNo = dtl.Account;
cbdtl.Description = dtl.Description;
cbdtl.Amount = dtl.Amount;
cbdtl.TaxType = dtl.GSTCode;
cbdtl.InclusiveTax = dtl.Inclusive;
}
try
{
doc.Save();
//log success
}
catch (AutoCount.AppException ex)
{
//log ex.Message
}
}
Classes of source
public class CashBookSource
{
public string From { get; set; }
public string Description { get; set; }
public string CurrencyCode { get; set; }
public decimal CurrencyRate { get; set; }
public string VoucherNo { get; set; }
public DateTime VoucherDate { get; set; }
public List<ReceivedDetail> Payments { get; set; } = new List<ReceivedDetail>();
public List<CashBookDetail> Details { get; set; } = new List<CashBookDetail>();
}
public class ReceivedDetail
{
public string PaymentMethod { get; set; }
public string ChequeNo { get; set; }
public decimal BankCharge { get; set; }
public decimal Amount { get; set; }
}
public class CashBookDetail
{
public string Account { get; set; }
public string Description { get; set; }
public decimal Amount { get; set; }
public string GSTCode { get; set; }
public bool Inclusive { get; set; } = false;
}
Implementation
public void MainEntry(AutoCount.Authentication.UserSession userSession)
{
CashBookSource newCB = new CashBookSource()
{
From = "KENNY LEE",
Description = "VEHICLE SOLD",
CurrencyCode = "MYR",
CurrencyRate = 1,
VoucherNo = "<<New>>",
VoucherDate = new DateTime(2017, 11, 27),
};
newCB.Payments.Add(new ReceivedDetail()
{
PaymentMethod = "CASH",
Amount = 5000
});
newCB.Details.Add(new CashBookDetail(){ Account = "200-6000", Description = "ASSET PURCHASED VALUE", Amount = 60000 });
newCB.Details.Add(new CashBookDetail(){ Account = "200-6005", Description = "ACCUMULATED DEPRECIATION", Amount = -50000 });
newCB.Details.Add(new CashBookDetail(){ Account = "900-1050", Description = "LOSS ON SOLD", Amount = -5000 });
NewReceivedVoucher(userSession, newCB);
}
See Also
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