Menu Path: Finance > Cheque Management > PD Cheque Processing
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- Select the Company and click on the Set Company button.
- Select the Date Range, Cashbook From and Cashbook To.
- Click on the submit button.
- Similar to Regular Cheque Processing function page, the list of RCT will appear on the table below the Submit button.
- Tick on the checkbox in either Bank-in or Bounced column and proceed to click on the Bank-In and Bounced button.
- Ensure that the date is correct and proceed to click on the Bank-In These Cheques Now button.
- Change the date if it is incorrect.
Related WIKI Pages:
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