Khác biệt giữa các bản “Thanh toán bằng séc/en”

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From the accounting dashboard, on your bank account, you should see a link "X checks to print". Click on this link and you will get the list of all checks that are not printed yet. From this screen, you can print all checks in batch or review them one by one.
 
From the accounting dashboard, on your bank account, you should see a link "X checks to print". Click on this link and you will get the list of all checks that are not printed yet. From this screen, you can print all checks in batch or review them one by one.
  
Nếu bạn muốn xem từng thanh toán một trước khi in séc, mở phần thanh toán và nhấp vào '''In Séc''' nếu bạn muốn in. Sẽ xuất hiện một hộp thoại hỏi bạn số séc. Nó sẽ tự động đề xuất cho bạn những số tiếp theo, nhưng bạn có thể thay đổi nếu nó không phù hợp với số séc tiếp theo của bạn.
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If you want to review every payment one by one before printing the check, open on the payment and click on '''Print Check''' if you accept it. A dialog will ask you the number of the check. It automatically proposes you the next number, but you can change it if it does not match your next check number.
  
Để in tất cả các séc theo lô, chọn tất cả các khoản thanh toán từ danh sách và in Séc từ menu "In" trên đầu.
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To print all checks in batch, select all payments from the list view and Print Check from the top "print" menu.
  
 
(a)
 
(a)
  
==== Đối soát với Sao kê Ngân hàng ====
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==== Reconcile Bank Statements ====
Trong quá trình xử lý sao kê ngân hàng, khi séc được ghi nhận tại tài khoản ngân hàng của bạn, Kiu ERP sẽ đề xuất tự động đối chiếu séc với khoản thanh toán. Điều này sẽ đánh dấu việc thanh toán là '''Đã được đối soát'''.<blockquote>'''Mẹo'''</blockquote><blockquote>Để xem các séc chưa được ghi nhận, mở danh sách thanh toán và lọc tình trạng '''Đã gửi'''. Hãy xem lại những khoản thanh toán có ngày từ hơn 2 tuần trước.</blockquote>
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Once you process your bank statement, when the check is credited from your bank account, KIU ERP will propose you automatically to match it with the payment. This will mark the payment as '''Reconciled'''.
  
=== Thanh toán chi phí bất kỳ bằng séc ===
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'''Tip'''
Bạn có thể đăng ký một khoản thanh toán mà không liên quan đến hóa đơn nhà cung cấp. Để thực hiện, sử dụng menu ở trên cùng '''Mua hàng ‣ Thanh toán'''. Đăng ký thanh toán của bạn và chọn phương thức thanh toán bằng séc.
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Nếu bạn phải thanh toán một hóa đơn nhà cung cấp cụ thể, hãy thêm tham chiếu của hóa đơn vào trường '''Ghi nhớ.'''
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To review checks that have not been credited, open the list of payments and filter on the '''Sent''' state. Review those payments that have a date more than 2 weeks ago.
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=== Pay anything with a check ===
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You can register a payment that is not related to a supplier bill. To do so, use the top menu '''Purchases ‣ Payments'''. Register your payment and select a payment method by check.
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If you pay a specific supplier bill, put the reference of the bill in the Memo field.
  
 
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(a)
  
Sau khi việc thanh toán bằng séc của bạn đã được đăng ký, bạn đừng quên '''Xác nhận'''. Khi đã xác nhận, bạn có thể sử dụng '''In Séc''' một cách trực tiếp hoặc theo hướng dẫn ở trên để in séc theo lô:
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Once your payment by check is registered, don't forget to '''Confirm''' it. Once confirmed, you can use '''Print Check''' directly or follow the preceding flow to print checks in batch
* In séc
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* Đối soát sao kê ngân hàng
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Bản hiện tại lúc 13:48, ngày 8 tháng 12 năm 2017

Once you decide to pay a supplier bill, you can select to pay by check. Then, at the end of the day, the manager can print all checks by batch. Finally, the bank reconciliation process will match the checks you sent to suppliers with actual bank statements.

Configuration

Configuration

Install the required module To record supplier payments by checks, you must install the Check Writing module. This module handle the process of recording checks in KIU ERP. Others modules are necessary to print checks, according to the country. As an example, the U.S. Check Printing module is required to print U.S. checks.

Note

According to your country and the chart of account you use, those modules may be installed by default. (example: United States users have nothing to install, it's configured by default).

Activate checks payment methods

In order to allow payments by checks, you must activate the payment method on related bank journals. From the accounting dashboard (the screen you get when you enter the accounting application), click on your bank account on More ‣ Settings option. On the Payment Method field, set Check.

(a)

Compatible check stationery for printing checks

United States

For the United States, KIU ERP supports by default the check formats of:

  • Quickbooks & Quicken: check on top, stubs in the middle and bottom
  • Peachtree: check in the middle, stubs on top and bottom
  • ADP: check in the bottom, and stubs on the top.

It is also possible to customize your own check format through customizations.

a supplier bill with a check

Paying a supplier with a check is done in three steps:

  1. registering a payment you'd like to do on the bill
  2. printing checks in batch for all registered payments
  3. reconcile bank statements

==== Register a payment by check To register a payment on a bill, open any supplier bill from the menu Purchases ‣ Supplier Bills. Once the supplier bill is validated, you can register a payment. Set the Payment Method to Check and validate the payment dialog.

(a)

Explanation of the fields of the payment screen:

Has invoices:"Technical field used for usability purposes"

Hide payment method: Technical field used to hide the payment method if the selected journal has only one available which is 'manual'

Code: Technical field used to adapt the interface to the payment type selected.

Manual Numbering: Check this option if your pre-printed checks are not numbered.

Check Number: The selected journal is configured to print check numbers. If your pre-printed check paper already has numbers or if the current numbering is wrong, you can change it in the journal configuration page.

Print checks

From the accounting dashboard, on your bank account, you should see a link "X checks to print". Click on this link and you will get the list of all checks that are not printed yet. From this screen, you can print all checks in batch or review them one by one.

If you want to review every payment one by one before printing the check, open on the payment and click on Print Check if you accept it. A dialog will ask you the number of the check. It automatically proposes you the next number, but you can change it if it does not match your next check number.

To print all checks in batch, select all payments from the list view and Print Check from the top "print" menu.

(a)

Reconcile Bank Statements

Once you process your bank statement, when the check is credited from your bank account, KIU ERP will propose you automatically to match it with the payment. This will mark the payment as Reconciled.

Tip

To review checks that have not been credited, open the list of payments and filter on the Sent state. Review those payments that have a date more than 2 weeks ago.

Pay anything with a check

You can register a payment that is not related to a supplier bill. To do so, use the top menu Purchases ‣ Payments. Register your payment and select a payment method by check.

If you pay a specific supplier bill, put the reference of the bill in the Memo field.

(a)

Once your payment by check is registered, don't forget to Confirm it. Once confirmed, you can use Print Check directly or follow the preceding flow to print checks in batch