Report On Cashier Money
Last updated
Last updated
Go into Report on cashier money, select required period for report. Click view, the software will export an excel file with the following data:
Previous date: Opening balance brought forward, amount collect on the day, amount paid on the day, closing balance carried forward.
Today: Opening balance brought forward. Details of amount collected on the day for each receipt, each description. Details of amount paid on the day for each payment, each description. Today closing balance carried forward.
THE PLANNING OF DAILY PAYMENT SHEETS
Prepairer
Chief Accountant
Manager
General manager
Date :
2020-05-27
Cash in Bank
USD
Cash in hand
USD
$0.00
VND
-
VND
64,364,500
Balance
VND
-
Balance
VND
318,029,000
Terms
Yesterday
26 Thg5 20
Today
2020-05-27
Tomorrow
28 Thg5 20
Openning Bal.(VND) Cash on hand
299,699,000
Openning Bal.(VND) Cash on hand
299,699,000
318,029,000
Yesterday's
Cash on hand(USD)
$0.00
Cash on hand(USD)
$0.00
Cash in Bank
$0.00
Remain
Cash balance
299,699,000
Cash balance
299,699,000
Cash balance
318,029,000
$0.00
$0.00
$0.00
Bank VND V.Cbank
Cash
50,000,000
Total Received
-
50,000,000
VND
-
$0.00
$0.00
0
Bank USD
Bank VND
Cash
Buy new PC for TP team (512GB SSD and 16GB RAM)
25,000,000
0
Mua ổ cứng mới cho máy tính 192.168.11.2
1,850,000
0
0
Buy DELL Monitor 27inch
4,020,000
0
0
Staff Birthday
800,000
0
Transfer
0
25,000,000
0
$0.00
$0.00
Total Paid
0
6,670,000
0
Cash
$0.00
Balance
299,699,000
318,029,000
318,029,000
Deficent
$0.00
$0.00
$0.00