1. Menu > Account / Reports.2. Klik Cash Book.2. Select Year > Month > Day.3.
Category: Akaun / Laporan
1. Menu > Account / Reports.2. Klik Cash Book Statement. 3. Select Year>Month>Day.4. Select Sumber, contoh Maybank.5.
1. Menu > Account / Reports.2. Klik Ledger Book.3. Klik Butang Setting.4. Untuk Tambah New
Bagi menentukan catatan harus dibuat di sebelah mana, kena kenalpasti Dokumen yang diberi sama ada kita
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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
SST No: P11-2201-32000010
Khidmat Pelanggan
014-321 6900
014-321 6925
014-321 6925
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