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To access the Cash Payments document list, go to Cash Management > Bank Documents > Cash Payments. 

Cash Payments are created when you need to register any payments made by your company by cash from one of its cash accounts, for instance payments to suppliers for supplied goods and services rendered, refunds to customers, advances to employees to reimburse their business expenses, and so forth. Image Removed

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The Cash Payments list

The list of cash payments includes all the cash payments available in the system. You can filter the list by cash account, entity, and transaction type by using the fields above the toolbar. If you don't see a specific document, rearrange the list by date or document number or use the Search field to locate the document by a string in its description. You can change the list display settings to suit your particular needs. To learn more about the list display settings, see Working with the item list.

Cash payments can be based on documents of multiple types depending on the transaction type.

The following types of cash payments are available in the system (some of the transaction types are available if the specific features are turned on):

  • To Supplier: To register the payment made to supplier from your company's cash account. As the basis, documents of the following types can be used: Invoice Received, Purchase Order, and Additional Expenses.
  • To Customer: To register any refund made to customer from your company cash account. As the basis, Credit Memos can be used.
  • Loan To Employee: To register the funds paid out to an employee as the loan principal amount (documents of this type are available if the Enable Loans to Employees option is selected on the Administration > Settings > Setting: HR & Payroll form). As the basis document, Loan to Employee can be used.
  • Salary: To register the payments made to the company employees as their salaries for the pay period. As the basis, a document of the Payroll Sheet type can be used.
  • For Employee Business Expenses: To register the advance payments to employees for their incoming business expenses.
  • Salary by Statement: To register the repayment installments made to a company that lent the funds to your company (documents of this type are available if the Enable Long-Term Credits and Loans option is selected on the Administration > Settings > General Settings form)account for the cash received from the cash account to pay salary to the employees.
  • Transfer to Cash Register: To account for funds received from another company as a loan principal amount (documents of this type are available if the Enable Long-Term Credits and Loans option is selected on the Administration > Settings > General Settings form)transferred from cash accounts to cash registers.
  • Tax Payment: To account for the VAT amounts paid to FTA (Federal Tax Agency) according to the VAT Return.
  • Other: To register the funds moved from the cash account as the result of other transactions.

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To create a document based on a cash payment, select the appropriate cash payment from the list, click the Generate button and select the required document type. The data from the cash payment will be automatically copied to the new document.

To manually create a new document of the Bank Receipt type, click the Create button on the toolbar.

To edit an existing document, double-click the line with the document in the Cash Payments list. You can also select the line, right-click it, and select Edit or click More actions > Edit on the toolbar. If you need to print the selected document, send it by email, or perform other operations, refer to List Toolbar.

If you need to print the selected document, send it by email, or perform other operations, refer to List Toolbar.