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Websoftex is a .NET based centralized database online software for Nidhi Company Software with core banking operations such Fixed Deposit, Recurring Deposits, Daily Deposit Schemes, Loan to Customers, Monthly Income Schemes, Dividend declarations etc. Websoftex handles the Members details. Websoftex handles all Saving A/c, Current A/c, FD A/c, RD A/c, DDS A/c. Websoftex handles management of Cheque book, Pass book and Bond. Websoftex handles all kind of Loan operations, Printing Loan Ledger, Automatic Interest Calculations.
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1 2 3 Branch Accounting Steps GL Transaction Menu Click here to Open For Accounting Of GL Transaction Menu
1 2 3 Branch Accounting Steps GL Transaction Menu Click Here For GL Transaction Menu
1 2 3 Branch Accounting Steps GL Transaction Menu Click here to view GL Transaction Menus
Branch Accounting – GL ReceiptGL Receipt for adding the amount or depositing the amount
1 2 3 Branch Accounting Steps GL Transaction >> GL Receipt Click here to Open GL Receipt
1 2 3 Branch Accounting Steps GL Transaction >> GL Receipt (I) Click here to select date (III) Select Credit Entry as shown in drop down (II) Select Debit Entry as shown in drop down (IV)Enter transaction amount (V) Enter Narration (VI) Click On Submit Button
1 2 3 Branch Accounting Steps GL Transaction >> GL Receipt Confirmation Message is displayed as shown below
Branch Accounting – GL PaymentGL Payment for debiting the amount or withdrawing the amount
1 2 3 Branch Accounting Steps GL Transaction >> GL Payment Click here to Open GL Payment
1 2 3 Branch Accounting Steps GL Transaction >> GL Payment (I) Click here to select date (II) Select Credit Entry as shown in drop down (III) Select Debit Entry as shown in drop down (IV)Enter transaction amount (V) Enter Narration (VI) Click On Submit Button
1 2 3 Branch Accounting Steps GL Transaction >> GL Payment Confirmation Message is displayed as shown below
Branch Accounting – Journal Entry Journal Entry for transfer related entries where need to select debit and credit entries where you can transfer the amount
1 2 3 Branch Accounting Steps GL Transaction >> Journal Entry Click here to Open Journal entry
1 2 3 Branch Accounting Steps GL Transaction >> Journal Entry (I) Click here to select date (II) Select Debit Entry as shown in drop down (III) Select Credit Entry as shown in drop down (IV)Enter transaction amount (V) Enter Narration (VI) Click On Submit Button
1 2 3 Branch Accounting Steps GL Transaction >> Journal Entry Confirmation Message is displayed as shown below
Branch Accounting – Contra Entry Contra Entry is related to bank, cash in hand in entries where we need to select debit a/c and credit a/c entries for transferring the amount.
1 2 3 Branch Accounting Steps GL Transaction >> Contra Entry Click here to Open Contra Entry
1 2 3 Branch Accounting Steps GL Transaction >> Contra Entry Click here to Open Contra Entry
1 2 3 Branch Accounting Steps GL Transaction >> Contra Entry (I) Click here to select date (II) Select Debit Entry as shown in drop down (III) Select Credit Entry as shown in drop down (IV)Enter transaction amount (V) Enter Narration (VI) Click On Submit Button
1 2 3 Branch Accounting Steps GL Transaction >> Contra Entry Confirmation Message is displayed as shown below
Branch Accounting – View Voucher View Voucher is related to GL Transaction like GL Receipt, GL Payment, Contra Entry, Journal Entry after entering the voucher entry, the details of that particular transaction will be displayed.
1 2 3 Branch Accounting Steps GL Transaction >> View Voucher Click here to Open View Voucher Entry
1 2 3 Branch Accounting Steps GL Transaction >> View Voucher Click here to enter the voucher no.
1 2 3 Branch Accounting Steps GL Transaction >> View Voucher Click On Search Button Details are displayed as shown above
Branch Accounting – Cheque Reconcile Cheque Reconcile is related to Bank related entries , then all the details will be displayed. Where need to reconciliation process for that particular entry.
1 2 3 4 5 Branch Accounting Steps GL Transaction >> Cheque Reconcle Click here to Open View Voucher Entry
1 2 3 4 5 Branch Accounting Steps GL Transaction >> Cheque Reconcle Select From Date and To Date, click on Submit Button Select bank as shown in drop down
1 2 3 4 5 Branch Accounting Steps GL Transaction >> Cheque Reconcle (I) Select Bank Date (II) Click on Reconcile Button
1 2 3 4 5 Branch Accounting Steps GL Transaction >> Cheque Reconcle Click On Ok Button, for Confirmation of Reconcile Process
1 2 3 4 5 Branch Accounting Steps GL Transaction >> Cheque Reconcle Confirmation Message is displayed as shown below
Branch Accounting – Journal Voucher Journal Voucher is related to whatever the transferred entries passed by credit and debit a/c , where the details will be displayed
1 2 3 Branch Accounting Steps GL Transaction >> Journal Voucher Click here to Open Journal Voucher
1 2 3 Branch Accounting Steps GL Transaction >> Journal Voucher Select From Date and To Date , Click on Search Button
1 2 3 Branch Accounting Steps GL Transaction >> Journal Voucher Details are displayed
1 2 3 4 5 6 7 8 9 10 11 12 13 Branch Accounting Steps Reports Menu Click here to Open For Accounting Of GL Transaction Menu
1 2 3 4 5 6 7 8 9 10 11 12 13 Branch Accounting Steps Reports Menu Click Here to View Reports
1 2 3 4 5 6 7 8 9 10 11 12 13 Branch Accounting Steps Reports Menu On Clicking Reports menu are displaying
1 2 3 4 5 6 7 8 9 10 11 12 13 Branch Accounting Steps SUBDAY BOOK Report (II) Click on Search Button (I)Select Date (III)Click Here to export and download the report
1 2 3 4 5 6 7 8 9 10 11 12 13 Branch Accounting Steps GL Day Balance Report (I) Select date and click on Search button (II)Click Here to export and download the report
1 2 3 4 5 6 7 8 9 10 11 12 13 Branch Accounting Steps MIS Report (I) Select from date and to date and click to search button (II)Click Here to export and download the report
1 2 3 4 5 6 7 8 9 10 11 12 13 Branch Accounting Steps General Ledger Report (II) Select from date and to date and click to search button (I)Select Ledger Name (III)Click Here to export and download the report
1 2 3 4 5 6 7 8 9 10 11 12 13 Branch Accounting Steps Cashbook Report (I) Select from date and to date and click to search button (II)Click Here to export and download the report
1 2 3 4 5 6 7 8 9 10 11 12 13 Branch Accounting Steps Bankbook Report (I) Select from date and to date and click to search button (II)Click Here to export and download the report
1 2 3 4 5 6 7 8 9 10 11 12 13 Branch Accounting Steps Receipt And Payment Report (I) Select from date and to date and click to search button (II)Click Here to export and download the report
1 2 3 4 5 6 7 8 9 12 10 11 13 Branch Accounting Steps Trial Balance Report (I) Select from date and to date and click to search button (II)Click Here to export and download the report
1 2 3 4 5 6 7 8 9 11 10 12 13 Branch Accounting Steps Profit & Loss A/C Report (I) Select from date and to date and click to search button (II)Click Here to export and download the report
1 2 3 4 5 6 7 8 9 11 10 12 13 Branch Accounting Steps Balance Sheet Report (I) Select from date and to date and click to search button (II)Click Here to export and download the report