Difference between revisions of "Posting journals"

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=== Multiple Entry ===
 
=== Multiple Entry ===
With a Multiple Entry you can constructed an array of journals entries across multiple centres on the same date. A good example of this would be the wages journal which involves posting in an out of the same centres a number different times.
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With a Multiple Entry you can constructed an array of journals entries across multiple centres on the same date. A good example of this would be the wages journal which involves posting in and out of the same centres a number different times.
  
 
=== Cash Book Entry ===
 
=== Cash Book Entry ===
With Cashbook Entry, this is useful when posting from multiple centres into one centre, for example when doing the Banking Journal when you put takings into the Bank.
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With a Cash Book Entry, this is useful for posting from multiple centres into one centre. A good example of this would be the Banking Journal; This involves posting the till takings into the Bank.
  
 
This is done as follows:
 
This is done as follows:

Revision as of 14:29, 18 July 2008

Summary

This article describes how to post journal entries into the system using the "Nominal Ledger" -> "Journal Entries" option.

Additional Information

There are three methods to post a journal and you need to decide which method best suites the journal entries needs.

Double Entry

This allows you to simple post a double entry journal from one centre to another with a comment of your choice.

Multiple Entry

With a Multiple Entry you can constructed an array of journals entries across multiple centres on the same date. A good example of this would be the wages journal which involves posting in and out of the same centres a number different times.

Cash Book Entry

With a Cash Book Entry, this is useful for posting from multiple centres into one centre. A good example of this would be the Banking Journal; This involves posting the till takings into the Bank.

This is done as follows:

  • At the top of the screen in the "Centre" box, enter the default bank account centre (e.g. 'Z992'
  • Press the <Enter> key so the cursor moves down to the "Money In/Out" field and type <I>.
  • Press <Enter> once again. This should take you down to the Date Field on the first line of the body of the screen.
  • Enter the date here of the day you are paying money into the bank.
  • On "Centre:", type the centre number where the money is coming out from, e.g. '"Z900"' for Cash.
  • Type the amount being paid in into the "Amount:".
  • On the "Comment:", type in the Paying-In Slip number and the word 'Cash'.
  • In the next line down, enter the same date as before, and then the next Centre number, e.g. 'Z901' for Cheque.
  • Proceed as before, except on "Comment:" type the Paying-In Slip number and the word 'Cheque'.
  • When you are finished, press <Esc> and [Accept].


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Keywords AND Misspellings
Nominal journals, posting cashbook