Skip to main content

Cash Book Transaction

The Cash Book main function is to keep track of all the cash and bank transactions that occur daily. The GC can be found in the Finance tab under Cash book Section

image.png

After clicking the cash/bank book button, you will see the GC transactions, wherein you can add new transactions, search existing GC transactions, and edit them if needed.

image.png

HOW TO ADD NEW GC TRANSACTIONSTRANSACTIONS?

image.png

image.png

  1. Click to select chosen bank
  2. Click to select chosen currency
  3. Click to add new details
  4. Click to select new account
  5. Click to “check” to save the new details
  6. Click ‘’save’’ to save the transaction
  7. Click “exit” to exit the transaction

 

Cash Bank Contra
HOW TO CREATE CASH BANK CONTRA TRANSACTIONS?

Go to Finance> Cash Book> Cash book operations > Cash Book Contra


 

image.pngimage.png

 

Petty Cash Transaction
HOW TO CREATE CASH BANK CONTRA TRANSACTIONS?

Go to Finance> Cash Book> Petty Cash Transaction.

image.png

Recurring Cash Bank Template

HOW

TO CREATE RECURRING CASH BANK TEMPLATE?
Post Recurring Cash Bank Template

HOW

TO CREATE RECURRING CASH BANK TEMPLATE?