Menu Path: Finance > Cash Book > Adjustment

Panel

Cashbook Adjustment enables users to make amendments or adjustments on the difference occurred in any cash transactions. The difference can be in positive amount (Debit) and negative amount (Credit).

Image Added

  • Select the Company and click on the Set Company button. The new layout will appear as shown in the sample image below:

Image Added

  • Set the Cashbook account from the drop down list and click on the Set Cashbook button. 
  • Upon clicking on it, a extended page appears below as displayed in the following image.

Image Added

  • Select the date for Adjustment to be made. 
  • Key-in the remarks and amount of the difference. Click Submit button.
  • Upon clicking the Submit button, the Adjustment will be saved. 


  • To search back the Adjustment made, navigate to Finance > Cashbook > Query Cashbook

Image Added

  • Select the same company and cashbook that the adjustments were made. Click on the Submit button for the Cashbook.
  • Change the date range according to the Date of the Adjustments to current date.
  • Click on the Generate Report Now button. The list of adjustments made for that Cashbook for the selected date appears below as displayed in the following image:


Image Added


Related WIKI Pages:


Panel

Search Results
maxLimit5
queryCashbook