Recording Bank checks

Documentation •
In this article

To enter issued bank checks, the user needs to insert an Issued checks account in the Liabilities. 

isssued checks in the Accounts table

The check is issued at the moment of paying a supplier and later on is being debited from the Bank current account.

check issuing and debiting records

The Issued checks account card after the transactions.  

check account card issued after postings

 

Help us improve the documentation

We welcome feedback on how to improve this page.

Tell us what theme needs a better explanation or how to clarify a topic.

Share this article: Twitter | Facebook | LinkedIn | Email