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received by the company, receipt can be recorded with same GL (Shown in detail at the end)


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See also 4.2.3.1. Invoices Received (Receipt From Supplier)



2. The company pays the total amount to the service provider. Generate Bank/cash/cheque payment as needed from the Invoice received document. The details should be filled automatically. 


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See also 6.2.2.1. Bank Payments (To Supplier)



3. Generate a report to confirm your actions.


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See also 7.5.5. Statements of Accounts



4. The employee's debt to the company can be seen in any accounting report and need to be closed.


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See also 7.7. Accounting: Reports



5. Use the document on the receipt of funds to the account (to the cashier) when the employee returns the funds to the company. The transaction type - Other.


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In the tabular part, specify the account on which there is a debt of the employee i.e. the GL used in Invoice received 'Other Staff Settlements' and the employee himself who is responsible to pay.


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Once posted, the entry should close the balance of Other staff settlements


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See also 6.2.1.9. Bank Receipts (Other)



6. Generate a report to confirm your actions.


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