What this is for:
Payments are used to record money paid out of the business, such as supplier payments, expenses, or other outgoing bank or cash transactions.
Open Payments
- From the left-hand menu, click Payments.
If Payments is not visible:
- Click Customize
- Tick Payments
- Click Update
Create a new payment
- Click New Payment
- Select the Supplier (if applicable)
- Enter the Date of payment
- Select the Account the money was paid from
- Example: Bank account or Cash account
- Enter the Amount paid
- Enter a Reference (optional)
- Example: Bank transfer reference, cheque number, or POS reference
Allocate the payment (if applicable)
- Under Bills or Expenses, select the item being paid
- Confirm the amount applied
If the payment is not linked to a specific bill, it will be recorded as a general payment.
Save the payment
- Click Create
The payment will now be recorded and reflected in the selected bank or cash account.
Notes
- Payments can be edited later by opening the payment and clicking Edit.
- If a payment is made in error, it can be corrected or reversed.