Open your company information in Sage Line 50 and navigate to the Bank page by clicking the Bank icon on the left hand side at the bottom of the page. The current page shows you your bank accounts you have put onto Sage Line 50.
The goal of reconciling the bank is to allot a payment against a Client or Supplier invoice. Sage Line 50 then shows this item has been paid.
At the very top of the Bank Page there are many icons. When reconciling the Bank you will need a banking statement showing payment out and in.
A payment from a customer can be recorded by choosing Customer. You can then choose the customers account number and allot the payment to a certain invoice. A payment from a client you don't have on Sage Line 50 and you haven't invoiced you will need to decide on the receipt icon and fill in any details.
When you have paid a supplier you do the same as when you receive payment from a customer but this time clicking the supplier icon. Sage Line 50 will automatically set the date of payment to the day you are inserting the info. Do not forget to change this date to the specific date you received the payment. When you make a payment to a supplier you do not have on Sage Line 50 you can press the Payment icon and fill in the detail. These are most likely to be payments on the company credit card.
Remember you're going to need to process all direct debits and bank charges.
You then choose the Reconcile button and match all payments with the statement received from you bank. The total reconciled balance may not match the total amount on your bank account statement as some of the payments you processed may not have come out the bank yet.
The goal of reconciling the bank is to allot a payment against a Client or Supplier invoice. Sage Line 50 then shows this item has been paid.
At the very top of the Bank Page there are many icons. When reconciling the Bank you will need a banking statement showing payment out and in.
A payment from a customer can be recorded by choosing Customer. You can then choose the customers account number and allot the payment to a certain invoice. A payment from a client you don't have on Sage Line 50 and you haven't invoiced you will need to decide on the receipt icon and fill in any details.
When you have paid a supplier you do the same as when you receive payment from a customer but this time clicking the supplier icon. Sage Line 50 will automatically set the date of payment to the day you are inserting the info. Do not forget to change this date to the specific date you received the payment. When you make a payment to a supplier you do not have on Sage Line 50 you can press the Payment icon and fill in the detail. These are most likely to be payments on the company credit card.
Remember you're going to need to process all direct debits and bank charges.
You then choose the Reconcile button and match all payments with the statement received from you bank. The total reconciled balance may not match the total amount on your bank account statement as some of the payments you processed may not have come out the bank yet.
About the Author:
Lois Park has just joined the team at Prosyn and is helping with internal small business IT Support setups. This Sage Line 50 task was one of her first projects. At Prosyn we concentrate on our internal systems as much as we do when providing Business IT Support to our clients.
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