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1. Record the actual deposit entry with Cash Payment or Bank Payment document with transaction type 'To Supplier':
Money > Cash Documents > Cash Payment

See also 6.3.2.1. Cash Payments (To Supplier)

Money > Bank Documents > Bank Payment

See also 6.2.2.1. Bank Payments (To Supplier)


2. On the Payment Details tab, chose GL Account - Deposits Paid to Suppliers:

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3. To return deposit, create a Cash Receipt or Bank Receipt with transaction type 'From Supplier':

See also 6.2.1.2. Bank Receipts (From Supplier)


4. On the Payment Details tab, chose GL Account - Deposits Paid to Suppliers and link the advance document:

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