In
this session we are looking at the Processing of a Collection Receipt. |
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In this example the
money has been Deposited directly into our Bank Account. So we use the Bank
Account as the Receipt Account. This can of course also be a Cash Receipt
Account for Processing a Cheque or Cash. |
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We
select the appropriate Mandate. |
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The
System already knows the expected Amount, but if it is different, we can
change it. |
We can optionally
produce a Receipt when we post. In this case I have not checked the “Print
Receipt” Option. I am simply posting the
Transaction. |
Now the System will
reveal how this Receipt is being Processed, if we drill into the Transaction. In the 1st
instance the Bank Account here is Debited with the Collection Amount and the
Tenant or Customer is being Credited with the Payment. Then internally the
Mandate Provision, which was Credited at the time Collection was raised, is
now Debited with the proceeds that are being Credited to the Customer Payable
Account and the Portion of Commission that is being Credited to the Fee
Earner Account. |