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	<title type="html"><![CDATA[FrontAccounting forum — How to Add Petty Cash Account in the DropDown Payment/Deposit process]]></title>
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	<updated>2020-06-14T20:49:39Z</updated>
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	<id>https://frontaccounting.com/punbb/viewtopic.php?id=8835</id>
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			<title type="html"><![CDATA[Re: How to Add Petty Cash Account in the DropDown Payment/Deposit process]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=37649#p37649" />
			<content type="html"><![CDATA[<p>FA only supports Suppliers and Customers as counterparties.&nbsp; Indeed these are the only searchable persons in vanilla FA.</p><p>So even if you were able to change bank payments to use a G/L account instead of a bank transaction, if you wanted a counterparty, you would have to create a Supplier or a Customer to make the payment to.</p><p>While you can write a check to a Miscellaneous or Quickentry person, there is no support to search for those transactions by person.&nbsp; An employee is not a supported person.</p><p>Therefore, if you were hoping on writing the check to either of those types using Bank-&gt;Payments (but to a G/L account), there really is no difference to using GJ and just memoing the name of the person who writes the checks.</p>]]></content>
			<author>
				<name><![CDATA[Braath Waate]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=41493</uri>
			</author>
			<updated>2020-06-14T20:49:39Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=37649#p37649</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Re: How to Add Petty Cash Account in the DropDown Payment/Deposit process]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=37647#p37647" />
			<content type="html"><![CDATA[<p>@Braath Waate I think the solution you give&nbsp; is like running away from the actual problem, you are giving a sort of detour.</p><p>Sorry but how do you make a petty cashier(Who is an Employee) to become a supplier? Now when I need to get reports, data about my suppliers,&nbsp; &nbsp; &nbsp;i will have it all mixed up right?</p><p>I mean, I am not a software engineer but I think our senior software developers can come up with a script that will make it possible to add atleast one GL Account in the dropdown list when you process payment or deposit.</p><p>I know, it can be tricky having PAYMENT/DEPOSIT AND JOURNAL ENTRY not to do the same thing. Maybe a counterpart field can be inserted in the journal entry to solve this. (By the way it&#039;s just my own views, maybe not correct)</p>]]></content>
			<author>
				<name><![CDATA[cedricktshiyoyo]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=45118</uri>
			</author>
			<updated>2020-06-14T14:50:27Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=37647#p37647</id>
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		<entry>
			<title type="html"><![CDATA[Re: How to Add Petty Cash Account in the DropDown Payment/Deposit process]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=37643#p37643" />
			<content type="html"><![CDATA[<p>I have written a module for Cash Transactions. This creates a new Transaction Type Cash Payment and Cash Deposit.</p><p>I don&#039;t remember if for this I made some core changes. Just give a try. May be this solves your problem.</p>]]></content>
			<author>
				<name><![CDATA[boxygen]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=20175</uri>
			</author>
			<updated>2020-06-14T02:57:54Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=37643#p37643</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Re: How to Add Petty Cash Account in the DropDown Payment/Deposit process]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=37642#p37642" />
			<content type="html"><![CDATA[<p>Could you create a &quot;Petty Cashier&quot; supplier and set its A/P account to &quot;Petty Cash&quot;?</p><p>Write a check to the Petty Cashier from the bank account against the Petty Cash g/l account.&nbsp; Use journal entry to enter the distributions from the petty cash account.&nbsp; The Petty Cashier should pop up as the counterparty.</p>]]></content>
			<author>
				<name><![CDATA[Braath Waate]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=41493</uri>
			</author>
			<updated>2020-06-13T22:48:20Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=37642#p37642</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Re: How to Add Petty Cash Account in the DropDown Payment/Deposit process]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=37639#p37639" />
			<content type="html"><![CDATA[<p>Petty cash is a current asset and should be listed as a debit on the company balance sheet. To initially fund a petty cash account, the accountant should write a check made out to &quot;Petty Cash&quot; for the desired amount of cash to keep on hand and then cash the check at the company&#039;s bank.</p><p>So, is it possible to add it in the drop-down list when processing payment/deposit. Without necessarily setting it as a bank account?</p><p>In FA Petty Cash is by default set as bank account, so when you print bank statements, petty cash transactions are also showing.</p><p>Any help!!!</p><p>Regards to all</p>]]></content>
			<author>
				<name><![CDATA[cedricktshiyoyo]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=45118</uri>
			</author>
			<updated>2020-06-13T14:58:32Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=37639#p37639</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[Re: How to Add Petty Cash Account in the DropDown Payment/Deposit process]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=37634#p37634" />
			<content type="html"><![CDATA[<p>Could you use Bank Account Transfer for this purpose?</p><p>Transaction 1 :&nbsp; Bank Account Transfer -&gt; From Bank to Petty Cash</p><p>Transaction 2 : Payment -&gt;&nbsp; From Petty cash&nbsp; against Employee acct</p>]]></content>
			<author>
				<name><![CDATA[Braath Waate]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=41493</uri>
			</author>
			<updated>2020-06-12T12:41:27Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=37634#p37634</id>
		</entry>
		<entry>
			<title type="html"><![CDATA[How to Add Petty Cash Account in the DropDown Payment/Deposit process]]></title>
			<link rel="alternate" href="https://frontaccounting.com/punbb/viewtopic.php?pid=37620#p37620" />
			<content type="html"><![CDATA[<p>Hello there,</p><p>I was wondering if there is a possibility to add an account in the dropdown list when processing a payment or deposit from an account which is not necessarily a Bank account?</p><p>Reason being when You use journal entry , there is no field for counterPart/Person. </p><p>Scenario:&nbsp; The organization write a check to Petty Cashier to withdraw cash from Bank account, which will be used for administrative expenses like fuel, Employee per diem, transport, Hotel etc. </p><p>Transaction 1 :&nbsp; Credit Bank - Debit Petty Cash</p><p>Transaction 2 : Credit Petty cash&nbsp; - Debit Employee acct</p><p>With Regards</p>]]></content>
			<author>
				<name><![CDATA[cedricktshiyoyo]]></name>
				<uri>https://frontaccounting.com/punbb/profile.php?id=45118</uri>
			</author>
			<updated>2020-06-11T19:48:30Z</updated>
			<id>https://frontaccounting.com/punbb/viewtopic.php?pid=37620#p37620</id>
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