Bagi rekod pembayaran melalui Cek, tarikh yang perlu kita rekod, adalah tarikh Cek dikeluarkan atau tarikh Cek clear?

Boleh sediakan Fail Cek Tracking, Contoh ada ruangan bagi Tarikh Cek received, Nama Syarikat yang bayar, amaun Cek, Tarikh Cek. Jadi bila once received Cek, tuan dah boleh issued Invoice dan masukkan bayaran.


Dan tarikh bayaran itu adalah tarikh received cheque dan bukan tarikh cheque tu clear. As if month end bila checking Bank Reconciliation yang melibatkan Bank Statement dan rekod dalam sistem Niagawan, boleh adjust di sistem follow as dated cheque cleared as in Bank Statement.

Niagawan Plus Sdn Bhd
110-2-21, Summerton Avenue, Persiaran Bayan Indah, 11900 Bayan Lepas, Penang, Malaysia.
SSMI: 1241159-P
SST No: P11-2201-32000010
Khidmat Pelanggan
014-321 6900
014-321 6925
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