Return from advance holder
To create a bank receipt to record a return of an advance payment made to an employee:
- Do one of the following:
- To generate a bank receipt based on a source document, select or open the source document. Then, click Generate > Bank receipt.
- To create a bank receipt from scratch, go to Cash management and under Bank, click Bank receipts. Then, in the Bank receipts list, click Create.
- Specify general details:
- Set Operation to Return from advance holder.
- Select Advance holder to indicate an employee who returns an advance payment.
- Fill in Amount to indicate the total payment amount.
- Fill in Account to indicate a company’s bank account for receiving the payment.
- Fill in other fields as necessary.
- On the Payment details tab, specify a document that recorded money transfer to an employee.
- Optional: To be able to trace the received payment to the original planning document, on the Planning tab, specify planning documents that recorded a planned cash inflow. For details, see Planning tab.
Note. This step is applicable if planning and forecast are enabled (the Cash flow projection checkbox is selected in Settings > Cash management, under Cash flow projection). - Optional: On the Additional information tab, specify additional information.
- Click Post and close.