Cashbook Discrepancy Checking

Menu Path: Accounting > Other Function > Cashbook Discrepancy Checking

For this function, users can generate report to recognize the differences in the cashbook.

  • Select the Company and click Set Company → refer to Accounting (Permission) for the cashbook discrepancy checking permission
  • Select the Cashbook → which is required to examine for the differences
  • Select the Date Range
  • Click on the Generate Report Now button

NOTES:

  • GL shorthand added in front of the Cashbook. Users can easily know which Cash book to generate by looking at GL code

  • Document numbers are available when user click on the 'Receipt Voucher (RCT)', 'Payment Voucher (PV)', Cash Transfer (CT) → if there is any discrepancy found

Related WIKI Pages

Private & Confidential