ProDon Validation and Transfer of a Transaction Batch (ProDon5)

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CAUTION: This document is for ProDon 5. To view ProDon 4 document, click here.


Introduction

Once all the transactions of a batch are entered, you must perform the transaction transfer. To learn how to enter transactions, see this document

It is recommended to validate with a report, prior to transferring the transactions; in order to make sure there are no mistakes. To learn how to validate the batch before transferring it, click here.


Once the validation is made, the transaction transfer (deposit) can be made. To learn how to transfer transactions, click here.

Validation of the Transaction Batch

To validate a transaction batch before transferring it, go to the "Transaction management".

To make sure there are no mistakes in the transactions to transfer, generate a report of the transaction batch.

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A: Go to the tab for which the transactions must be transferred.

B: Conduct a search or apply a filter in order to only display the elements to transfer in the current list

C: Click on theBouton Rapport imprimer.pngbutton.

NOTE: Under the "Deposit" tab, there are transactions by cheque, in cash, but also donations in goods and services. When transferring transactions by cheque or in cash, make sure the transactions of the donations in goods and services are not in the current list, or vice-versa.


After clicking on the Bouton Rapport imprimer.png button, the following window opens.

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A: Select the "1, Batch transactions..." report.

B: Click on the "Bouton Rapport imprimer.png Generate" button.


After clicking on the " Bouton Rapport imprimer.png Generate" button, the following window opens.

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A: Select the "Untransferred transactions" option.

B: Click on the " Bouton Crochet ajouter confirmer.png OK" button.


After clicking on the " Bouton Crochet ajouter confirmer.png OK " button, the report opens.

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A: Validate each transaction to make sure there are no mistakes before transferring them.

If there are mistakes in the transactions, correct them before transferring the transaction batch.

To correct a transaction, return to the transaction management, and double-click on the transaction to correct. 


Transaction Transfer

Once the transactions have been validated and they do not contain any mistakes, transfer the transaction batch.

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A: Select the tab for which the transactions must be transferred.

B: Conduct a search or apply a filter in order to display only the elements to transfer in the current list.

C: Click on theFile:Bouton Reporter Generer.pngbutton.

NOTE: It is not possible to transfer all the transactions of all the tabs of the "Transaction management" at the same time. You must therefore transfer the transactions of each tab one at a time.


After clicking on the Bouton reporter transaction.png button, the following window opens.

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A: Enter the deposit date. The current date is automatically entered by default.

B: Select the bank account in which the deposit will be made.

C: If at least one transaction in cash is part of the batch, you must specify its banking instruments.

D: Check the reports to generate. See the note at the bottom of this table, for more details on the reports.

E: Choose whether to print directly or to show onscreen the reports selected at D.

F: To transfer the transactions and generate the reports, click on
Bouton Crochet ajouter confirmer.png Start".

NOTE: The report " Batch Transactions" is used as archiving report. The "Banking instruments" report may be used as deposit slip. The "Summary by GL Accounts" report is an accounting report.


The transactions have now been transferred, removed from the current list of transaction management and sent to Analysis and History.

After transferring transactions, do not forget to generate the receipts and documents related to the transferred transactions.

For more details concerning the processing of receipts to be issued, see this document.

For more details concerning the processing of documents to be issued, see this document.


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