CODE: A2941
In AKINSOFT program, you need to use the 'Check/VoucherTransactions' screen to make status changes in your Check/Voucher records.
Enter the 'Cheque/Voucher Transactions' screen.
Select 'Document Type'.
Select the operation to be performed for this document in the 'The Operation Will Be Applied' field.
Click the 'Apply Operation' button.
If the document is going to be turnover, "Client Selection" will be displayed after you click the "Apply Operation" button. From this screen, you can complete your transaction by making your client selection for Turnover operation.
Transactions that can be applied according to Check/Voucher status;
Customer Cheque ► 'On Clearing Process, 'Bank Credit', 'Received', 'Added to Turnover', 'Branch Transfer"
Customer Voucher ► 'On Clearing Process, 'Bank Credit', 'Received', 'Added to Turnover', 'Branch Transfer"
My Cheque ► 'Paid from Bank', 'Paid from Cash Account'
My Voucher ► 'Paid from Bank', 'Paid from Cash Account'
Cheques on Clearing Process ► 'Received', 'Returned'
Vouchers on Clearing Process ► 'Received', 'Returned'