Cash Receipt journals allow the user to record payments made to a customer’s account. To record a cash receipt journal, follow these steps:
In the top right corner, choose the search icon, enter , and select the related link.
Alternatively, you can access Cash Receipt Journal from the customer list’s menu bar by selecting , then .
Choose the as the journal template.
This will fill in certain information in the journal, such as the .
To complete the Cash Receipt Journal, you need to provide the following information:
- - This is the transaction date.
- - Set this to .
- - This will be preset by the system.
- - Set this to .
- - Select the customer’s number in this field.
- - Select the , essential when using external accountancy.
- - As you are crediting the customer, this should be set to a negative number.
- - This will be preset by the system.
- - This will be preset by the system.
- - If you are applying the payment directly to a document, select the type of document as .
- - Select which document here.
Double-check the information you’ve entered, then select from the menu bar, followed by to post the journal.
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