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The Money section is used for accounting of cash, non-cash and cheque transactions.

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In each subsection, you can see the relevant receipts and expenses documents.

You can also use the Bank Reconciliation functonality. It allows to compare the data on non-cash balances and turnovers in the system with the bank data.

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A document of the Advance Report type is created to account for the use of money which was issued to an employee  for inventory/services purchase on conditions of accountability. 

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The Money section contains such reports for analysis of:

  • Cash and non-cash balances
  • Cash flows
  • Received and issued cheques

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