Accounting Management
HOW TO CREATE A COMPANY?
HOW TO ATTACH THE COMPANY?
HOW TO DELETE A COMPANY?
HOW TO EDIT THE COMPANY?
HOW TO CREATE ACCOUNT LEDGER?
WHAT IS CONTRA?
WHAT IS RECEIPT VOUCHER?
WHAT IS PAYMENT VOUCHER?
WHAT IS ACCOUNTING INFO?
HOW TO VIEW INDIVIDUAL LEDGERS?
HOW TO VIEW CASH BOOK?
HOW TO VIEW BANK BOOK?
HOW TO VIEW FINAL ACCOUNTS?
How to view cash and bank book?
Cash and Bank Book in billing software serve as essential financial tools for businesses, ensuring seamless management of monetary transactions. In the digital realm, these books are integral components of billing software, providing real-time tracking and organization of cash inflows and outflows.
The Cash Book section meticulously records all cash transactions, encompassing sales, expenses, and other financial activities. It captures details like transaction dates, amounts, and relevant descriptions, offering a comprehensive overview of daily monetary movements. This feature facilitates swift decision-making, enabling businesses to assess their liquidity
- Open logicview erp application
- Log into the application
- Open the company
- Click on accounting menu option
- Click on cash and bank book
- Select date range
- Click on go
