Accounting & Banking
VOP's Accounting & Banking functions allow you to keep accurate on your cash flow of your business. You can record disbursements, receipts, deposits, returned checks and bank transfers; indicate which receipts, disbursements and transfers have cleared their banks; and then reconcile their book entries to their bank Statements. It fully integrates with Accounts Receivable and Accounts Payable functions.
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Multiple bank accounts
Support cash receipts
Support payments
Support bank deposits
Support bank transfers
Support returned checks
Support bank reconciliations
Manual or auto check number
Credit card transactions
and more ...
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