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Petty Cash
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- Last edited 2 years ago by Gelo
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Contents
Petty Cash
Allows the user to create a petty cash for paying expenses.
Requirements before using Petty Cash
- The user should setup the following Maintenance Module in order to proceed on using the Petty Cash
Petty Cash Record List
Adding Petty Cash
- Go to Financials then click Petty Cash
- Click Add Petty Cash Button
- Fill up the necessary Fields on the Petty Cash Header
- Fill up the necessary Fields on the Accounting Details Section below the Petty Cash Header then Click Save.
Field | Description | Expected Values |
---|---|---|
1.Petty Cash Voucher | •Auto Generated Petty Cash reference number upon creation | •Alphanumeric (Auto-Generated) |
2.Payee | •Name of Payee | •Suppliers List from Supplier Maintenance Module |
3.Document Date | •Date when the transaction was created | •Date |
4.Credit Account | •Account to be charged for credit on the transaction | •Account list in the Chart of Accounts Maintenance Module |
5.Notes | •Other Remarks on the Transaction | •Alphanumeric |
6.Transaction Date | •Date of Transaction | •Date |
7.Supplier | •Name of Supplier | •Supplier List in the Supplier Maintenance Module |
8.Account | •Account to be charged on the transaction | •Account list in the Chart of Accounts Maintenance Module |
9.Price | •Price to be paid in the transaction | •Amount/Number |
10.Tax | •Type of Tax to be applied on the Transaction | •Tax List provided in the Tax Maintenance Module |
11.Amount | •Total amount in the transaction line on each account | •Number |
Notes:
- Account should be on ACTIVE status when using it upon creating or editing a transaction.
- This can be seen in Chart of Account Maintenance Module.
- Supplier/Payee should be on ACTIVE status when using it upon creating or editing a transaction.
- This can be seen in Supplier Maintenance Module
- Tax should be on ACTIVE status when using it upon creating or editing a transaction.
- This can be seen in Tax Maintenance Module
Editing Petty Cash
- Go to Financials then click Petty Cash
- Select the Petty Cash that needs an update. Click the drop-down arrow then click Edit
- Update the necessary fields then click Save to finish.
Field | Description | Expected Values |
---|---|---|
1.Petty Cash Voucher | •Auto Generated Petty Cash reference number upon creation | •Alphanumeric (Auto-Generated) |
2.Payee | •Name of Payee | •Suppliers List from Supplier Maintenance Module |
3.Document Date | •Date when the transaction was created | •Date |
4.Credit Account | •Account to be charged for credit on the transaction | •Account list in the Chart of Accounts Maintenance Module |
5.Notes | •Other Remarks on the Transaction | •Alphanumeric |
6.Transaction Date | •Date of Transaction | •Date |
7.Supplier | •Name of Supplier | •Supplier List in the Supplier Maintenance Module |
8.Account | •Account to be charged on the transaction | •Account list in the Chart of Accounts Maintenance Module |
9.Price | •Price to be paid in the transaction | •Amount/Number |
10.Tax | •Type of Tax to be applied on the Transaction | •Tax List provided in the Tax Maintenance Module |
11.Amount | •Total amount in the transaction line on each account | •Number |
Notes:
- Supplier/Payee should be on ACTIVE status when using it upon creating or editing a transaction.
- This can be seen in Supplier Maintenance Module
- Past Transactions with INACTIVE status prior to its deactivation can still be used.
- Tax should be on ACTIVE status when using it upon creating or editing a transaction.
- This can be seen in Tax Maintenance Module
- Past Transactions with INACTIVE status prior to its deactivation can still be used.
- Account should be on ACTIVE status when using it upon creating or editing a transaction.
- This can be seen in Chart of Account Maintenance Module.
- The user can only edit the Petty Cash Transaction if it is still in UNPAID status.
- The user must Unpost and cancel the Payment Voucher first in order to edit the Petty Cash Record.
- The Petty Cash will change its status to PAID if it is paid under Payment Voucher.
Importing and Exporting Journal Voucher
1. Under Petty Cash Screen, Click Options
2. Under Options, The user may Export or Import The Record
- When Exporting the records, the user may also use the filter options such as Date Filter, Search Bar and Source filter for precise searching and exporting of records.
- When Importing the records, the user should follow the following steps provided in the Importing Petty Cash Screen such as
- Downloading the template link provided under Step 1.
- Filling up the information needed for each columns of the template
- Uploading the updated Template
Petty Cash Record Options
Notes:
- For detailed steps on how to View, Edit, Print and Cancel a Petty Cash, you can visit the Petty Cash Job Aids which can be found here
Petty Cash View Record
Status | View | Edit | Cancel | |
---|---|---|---|---|
UNPAID | ☑ | ☑ | ☑ | ☑ |
PAID | ☑ | ☑ | ||
CANCELLED | ☑ | ☑ |
Notes:
- The user can Edit the Petty Cash Record while viewing
- The user can only edit it while the status of the Petty Cash is UNPAID
- The Record will change its status from UNPAID to PAID ones the petty cash payment in Payment Voucher is POSTED
- Petty Cash can only be cancelled if it is still on UNPAID Status.
- The user must Unpost and cancel the Payment Voucher first in order to cancel the Petty Cash Record.
Modules | |
---|---|
Financials | Financials | Petty Cash | Payment Voucher |
Maintenance | Supplier | Chart of Account | Tax |
Job Aid Modules | |
Financials Aids | Petty Cash Aids | Payment Voucher Aids |
Maintenance Aids | Supplier Aids | Chart of Accounts Aids | Tax Aids |