Help:AP1-Transactions Pull-Down Menu: Difference between revisions
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[[Help:AP1-Print_Checks_One_Vendor|Print Checks → One Vendor]] Use this option to print A/P checks for invoices which have been selected for payment for one specific vendor. | [[Help:AP1-Print_Checks_One_Vendor|Print Checks → One Vendor]] Use this option to print A/P checks for invoices which have been selected for payment for one specific vendor. | ||
'''<big> | {{Important tip|tip='''<big>NOTE: The Accounts Payable Manager and the Payroll Manager modules print, record, and void their own respective checks.</big>'''}} | ||
{{Important tip|tip='''NOTE: Checks (manual or computer generated) issued to pay invoices which have been recorded in the Accounts Payable module MUST be recorded in the Accounts Payable module. Do NOT record a manual check in Bank Account Manager to pay an invoice which has been recorded in Accounts Payable. Otherwise, the invoice will remain as an open payable item in the Accounts Payable module and you will duplicate your expense in the general ledger.'''}} | {{Important tip|tip='''NOTE: Checks (manual or computer generated) issued to pay invoices which have been recorded in the Accounts Payable module MUST be recorded in the Accounts Payable module. Do NOT record a manual check in Bank Account Manager to pay an invoice which has been recorded in Accounts Payable. Otherwise, the invoice will remain as an open payable item in the Accounts Payable module and you will duplicate your expense in the general ledger.'''}} | ||
Latest revision as of 19:07, 16 April 2010
This pull-down menu enables you to perform all of the processing of the financial transactions which are controlled by the Accounts Payable Manager module. Following is a brief explanation of each option on the Transactions Pull-Down Menu:
Record Invoices This option is used to record the invoices which you receive from the various vendors with whom you do business. An invoice must be recorded before it can be paid.
Select for Payment → All Vendors Use this option to select invoices for all vendors which are due on or before a selected date. You have the option to select invoices for one or all A/P Accounts.
Select for Payment → One Vendor Use this option to select invoices for one specific vendor. You have the option to select invoices for one or all A/P Accounts.
Print Checks → All Vendors Use this option to print A/P checks for invoices which have been selected for payment for all vendors.
Print Checks → One Vendor Use this option to print A/P checks for invoices which have been selected for payment for one specific vendor.
| Important: NOTE: The Accounts Payable Manager and the Payroll Manager modules print, record, and void their own respective checks. |
Recurring Payables This option is used to maintain a listing of recurring amounts payable, such as vehicle payments, mortgages, etc. It also enables you to merge this listing into the Accounts Payable on a monthly basis.
Void A/P Checks This option is used to automatically void a check which was written by the Accounts Payable Manager and has not cleared the bank.
Void A/P Adjustments This option is used to reverse any payment that was made on an Accounts Payable Invoice as a Bank Adjustment as opposed to being recorded as an Accounts Payable Check.
Import ASCII Transfer Files There are some third party International Dispatch programs that also maintain Accounts Payable information. This option will import the Accounts Payable information from these third party programs as long as the data was exported from such third party programs in our published ASCII format.

