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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.
Printing Petty Cash
- Click Financials then click Petty Cash
- Select the Petty Cash that needs to print its details. Click the Drop-down Arrow then press Print.
Cancelling Petty Cash
Petty Cash can be canceled in two ways:
- Using drop-down arrow of a record can be used in single record cancellation
- Using Cancel Button for cancelling multiple records
Importing and Exporting Petty Cash
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
Field | Description of Data Output | Allowed Inputs | Input Restrictions | Required (Y/N) |
---|---|---|---|---|
1.Document No. | Manual Entry of Document no of Journal Voucher | *Numeric | *Other characters not mentioned in the allowed Inputs | Y |
2.Payee | Name of Payee | *Supplier Code provided in Supplier Maintenance Module | *Any inputs not mentioned in the allowed inputs | Y |
3.Document Date | Manual Entry of the Document Date when the transaction was created | *Numeric
*Dash "-" *Backslash "\" |
*Other special characters not mentioned | Y |
4.Credit Account | Account to be charged for credit on the transaction | *Account Code provided in Chart of Account Maintenance Module | *Any inputs not mentioned in the allowed inputs | Y |
5.Notes | Other Remarks on the Transaction | *Alphanumeric
*Special Characters |
*None | N |
6.Transaction Date | Date of Transaction | *Numeric
*Dash "-" *Backslash "\" |
*Other special characters not mentioned | Y |
7.Supplier Code | Supplier Code of the Supplier | *Supplier Code provided in Supplier Maintenance Module | *Any inputs not mentioned in the allowed inputs | Y |
8.Account Code | Account to be charged on the transaction | *Account Code provided in Chart of Account Maintenance Module | *Any inputs not mentioned in the allowed inputs | Y |
9.Price | Price to be paid in the transaction | *Numeric | *Any input except Numeric | Y |
10.Tax Code | Type of Tax to be applied on the Transaction | *Tax Code provided in Tax Maintenance Module | *Any inputs not mentioned in the allowed inputs | N |
Petty Cash Record Options
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 |