Customer receipts and Payments to suppliers
Clicking on these buttons will open the journal template for registering customer receipts and payments to suppliers in the Customer and Supplier Ledger respectively.
The functions are the same as the ones you initiate from the Customer and Supplier ledgers by clicking on the Receipts/Payments button, or from Journal Entry if you have switched on the journal template toolbar.
Supplier Payments
This button starts the 'Supplier Payments - Remittance' wizard. To remit your supplier payments you can either use Cheque Payment Forms/Internet payments, or one of the BACS formats as remittance type. You can read more about payments to bank here.
New Journal
This shortcuts opens the Journal Entry module. You can read more about journal entry in a separate chapter here.
Bank Reconciliation
Opens the window for bank reconciliations. Bank reconciliation helps you to check that your bank statements match your posted journal entries in your ledger. You can reconcile the amounts against another and mark off all items you can find again on your bank statements. Read more about this in the section on Bank Reconciliation here.
The desktop can be customised so that every focus area contains the information and shortcuts that best match your program usage. Refer to the below links for information on how to adjust the desktop to your needs.
Read more about:
Information Boxes on the Desktop