Checkbook - Add Checks & Deposits

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To make Checkbook Reconciliation entries, select Bookkeeping from the Menu Tree Menu or the Windows Drop Down Menu, then select Checking, then select Reconcile Checking Account, and then select Add Checks and Deposits.

 

Add Checks & Deposits Form:

KwikSlsCheckingAddReconcileEntry1

Enter the all appropriate data into the above fields including the KwikSlsCheckingReconcileEntryType1 field.

 

Use the ButtonSelect1 button for Date Selection:

CalendarSelect1

 

Use the ButtonVendor1 button to select a Vendor. KwikSlsSalesVendorSelectTable2

 

Use the ButtonCustomer1 to select a Customer.

KwikSlsCustomerSelectTable1

 

You will be returned to the Add Checks and Deposits Form:

KwikSlsCheckingAddReconcileEntry2

 

Add Checks and Deposits displays a screen for the entry of check or deposit data.

KwikSlsCheckingAddReconcileEntryDEPOSIT

 

Indicate the entry type, fill in the remainder for the form, and then press the ButtonOK1 button to complete the transaction.