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ERPro Banking
ERPro Banking module is a tool used for managing your company¡¦s cash
accounts. You can record deposits, withdrawals and bank transfers; indicate
which deposits, withdrawals and transfers have cleared the bank; and then
reconcile their book entries with the bank statements. Banking in ERPro
allows you to seamlessly integrate all cash, cheque, and credit card
transactions, track bank account balances, and automate the monthly process
of reconciling these accounts.
Key
Benefits
Immediate
Bank Balance Inquiry Banking module gives you immediate access to your current bank balance with all posted or unposted bank related transaction from all related modules. You can even ¡§drill down¡¨ to the detail transaction that make up the bank balances. ¡@
Record
Deposits and Other Receipts
You can
record deposits and other receipts (e.g., bank interest and automatic
customer payments) not entered through other modules.
Record
Cheques and Other Disbursements
Record
cheques and other expenses (e.g., bank fees and loan payments automatically
deducted from accounts) not entered through other modules.
Miscellaneous
Cheque
Quickly
print and post a cheque when you need to make a payment to someone who is
not set up as a vendor or an invoice
is not required.
Record
Bank Transfers
Record
transfers between two bank accounts (e.g. wire transfers) that are not
entered through other modules. You can also transfer funds from one bank
Easy
Bank Account Reconciliation
Enter
summary information from a bank statement. You can then quickly reconcile
that data with the detailed data within ERPro by marking which deposits, withdrawals
and transfers appear on the statement. |
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Bank Reconciliation integrates seamlessly
with other ERPro modules so all transactions affecting your bank balance
are displayed together.
Entry
Type Set Up
You have
the flexibility to set up Entry Type in order to classify transactions by
type; thus allowing you to easily identify the nature of the transaction
entered (e.g., to differentiate between charges for returned cheques and
monthly service fees).
Currency
Codes
Currency
codes can be set up for each foreign currency used to transact business.
These codes can be assigned
Integration
with General Ledger, Accounts Payable and Accounts Receivable Modules
Transaction
that do not affect other sub-modules are entered directly into Banking
module and GL Voucher entries are created during Posting
Integration
with the Accounts Payables module allows all cheques recorded to
automatically appear in the reconciliation for the related bank account.
For ease of identification transaction descriptions and references are also
shown in the Bank Reconciliation function. You can choose whether or not to
create payment voucher in Accounts Payable to settle Vendor Invoice. Integration with the Accounts Receivable module enables all bank deposit information entered in Accounts Receivable module to be available in the Bank Reconciliation function. You can choose whether or not to create payment receipt in Accounts Receivable to settle Invoice. ¡@ |
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