A/R Deposit Entry: Difference between revisions

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==A/R Deposit Entry==
 
This is to record the deposit paid by debtor / customers.
 
The deposit can after that be used to settle the debt (used as one of the payment method at A/R Receive Payment).
 
Unused deposit can be Forfeited or Refunded (not the same as A/R Refund Entry).
 
 
To do A/R Deposit Entry, you need to maintain special account of Deposit. (''<span style=color:red>G/L > Account Maintenance</span>'')
 
 
'''<span style=color:red>To Create New Deposit Entry</span>'''
 
Go to ''<span style=color:red>A/R > A/R Deposit Entry</span>''
Click on ''<span style=color:red>Create A New A/R Deposit</span>''
 
 
[[File:ARD1.png]]
 
 
'''Deposit Account:''' assign a deposit special account (the payment method); this account will be credited.
 
'''Debtor:''' key in the first number/alphabet, OR click on the drop down arrow button, OR click on Search button to assign/select a debtor number.
'''A/R Deposit No:''' <<New>> means to follow auto-running numbering (maintained at [[Document Numbering Format Maintenance]]), and the next possible number is displayed at the top bar of the window. You may click on it to key in any number you like.
 
'''Date:''' system date is automatically captured, you may click to change.
 
'''Debtor Name:''' will be displayed according to selected Debtor account
 
'''Attention:''' name of the person to addressed
 
'''Description:''' this is called document description...will remember from most recently keyed in description.
 
'''Payment Method:''' select a payment method. Click on '+' sign to add a new row for multiple payment method. This account will be debited.
 
'''Cheque No.:''' key in cheque number if any.
 
'''Payment Amount:''' key in the payment amount by this payment method.
 
'''Bank Charge:''' key in bank charge value if any.
 
'''Payment By:''' key in the mode of payment.
 
'''Float Day:''' number of days the cheque took to be cleared.
 
'''Is RCHQ:''' this used when a cheque payment made earlier is returned/bounced (use Edit mode).
 
'''RCHQ Date:''' define the date when the cheque is returned/bounced.
 
 
'''Proceed New A/R Deposit:''' when this is checked, a fresh screen will be ready for new entries upon Save; if unchecked will exit the transaction screen upon Save.
 
 
Click on ''<span style=color:red>Preview</span>'' (or ''<span style=color:red>Save & Preview</span>'')
 
[[File:ARD2.png]]
 
 
[[File:ARD3.png]]
 
 
'''<span style=color:red>Use of A/R Deposit in A/R Receive Payment</span>'''
 
 
[[File:ARD4.png]]
 
 
[[File:ARD5.png]]
 
 
'''<span style=color:red>Forfeit or Refund of A/R Deposit</span>'''
 
Go to ''<span style=color:red>A/R > A/R Deposit Entry</span>'',
 
Highlight the deposit and click on ''<span style=color:red>View</span>''
 
 
[[File:ARD6.png]]
 
 
[[File:ARD7.png]]
 
 
If you choose to forfeit the deposit,
 
 
[[File:ARD8.png]]
 
 
If you choose to refund the deposit,
 
 
[[File:ARD9.png]]
 
 
[[File:ARD10.png]]
 
You can perform multiple Forfeit or Refund by adding additional line when performing forfeit or refund.
 
 
'''<span style=color:red>Print A/R Deposit Listing</span>'''
 
 
[[File:ARD11.png]]
 
 
[[File:ARD12.png]]
 
 
[[File:ARD13.png]]
 
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