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Table of Contents
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System Administrator
Security System
Trigger Setup
System Setup
Quick Start
Operations Manuals
Accounting Manuals
Accounting Setup
Accounts Receivable
Accounts Payable
Prerequisites
Introduction
PO Receipt Reconciliation
Manual A/P Entries
A/P Aging
Payment Sheduling
AP Offset
Debit Memo
Bank Reconciliation
Prerequisites
Fields & Descriptions
Summary
Deposits
Checks
Generate Automatic Deductions
How To .....
Reports
How to Process Credit Card Payments
FAQs
General Ledger
Accounting Transaction flow examples
FAQs - General Accounting
System Utilities
Definitions
Generate Automatic Deductions Tab
Bank Name
The name of the bank which was reconciled.
Account Title
The G/L title for this bank.
Account Number
The number that the bank has for this account.
Current Bank Balance
The current bank balance.
If the user wants none of the automatic bank deductions generated, this button is used.
The user highlights the first check and then uses this button to uncheck all of the rest.
Charge Account
Y/N to Generate Auto Deductions.
Automatic Bank Deductions
Description of Automatic Bank Deductions, scheduled date and amount of deductions.
Generate To
Enter date to Generate Automatic Bank Deductions to.
Depress this button to Generate the Auto Deductions.
Article ID: 2703
ManEx, Inc.
Content intended for information only. Do not redistribute without written consent.
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