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1 | Go to the Expense menu, then click Payment Entry. |
2 | Choose the supplier from the Supplier dropdown list. |
3 | Confirm the Period and Date for the entry are correct – change if necessary. |
4 | Select the Payment Method.
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5 | Confirm the correct Bank Account is selected - change if necessary. (in the old documentation, it said to select it as CMF, does it need to be that?) |
6 | Enter the Cheque/Ref. No. |
7 | In the Details field, enter a brief description of what the expense is for, e.g Power, Cleaning. |
8 | A list of outstanding expense entries for that payee will appear. Confirm that the amounts in the Payment Amount column are what you wish to pay. |
9 | If you do not want to pay the full amount, select Edit on the line you wish to adjust. Update the amount to what you wish to pay and click Save on that line. |
10 | If you wish to delete all data in the fields on the screen and begin your entry again, click on Cancel. |
11 | Click Save & New (or click the arrow on the Save & New button to change it to Save) to save the data and enter a new payment entry |
12 | After saving the Payment Entry, a blank Payment Entry screen will appear ready for more information to be entered. |
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