Settlement & Cash Control - Engineering Business

Monitoring and controlling cashflow closely by the way the settlement task updates the related data autoimatically :
- Cash In/Out figures in Job Order for convenience of cash control.
- Settled amount of Customer Invoice (AR) and Vendor Invoice (AP).
- Comparison Cash In/Out Report for individual job and summation.
Auto Registration |
- Receipt/Payment no. is auto-obtained when adding new money receipt or payment
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Effective Settlement |
- Receipt list, invoice list and settled records of customer are shown on the same screen for easy review
- Payment list, bill list and settled records of vendor are shown on the same screen for easy review
- Multiple or split settlement supported
- Exchange gain/loss is auto-calculated when there is a exchange difference between date of invoice/bill entry and actual money receipt/payment
- Vouchers are auto-generated
- Financial status and relevant report (AR/AP Aging Report) are auto-updated
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Instant Balance Update |
- Customer/Vendor balance is auto-updated after each invoice/bill settlement transaction
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Report Printing
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- Invoice/Bill report – filtered by single/multiple items:
- Status
- Due Date Range
- Currency
- Cusotmer/Vendor
- MoneyIn/Out report – filtered by single/multiple items:
- Status
- Date Range of receipt received, deposited or applied
- Date Range of payment issued date or effective date
- Customer/Vendor
- Bank
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