Previous Topic

Next Topic

Inhoudsopgave

Book Index

Memorial Day Books

You can record financial changes relating to items other than cash, bank, sales invoices or purchase invoices in Day Books categorized as ‘Memorial.’ As no fixed offset account is available for the entry, the total balance of all lines you enter in a day book page must be ‘0.’ If the total balance is larger or smaller than ‘0’, the day book page is not stored.

Isah Finance processes entries in day books in the Journal, after which the ledger account is updated with the journal entry lines. The Ledger Account allows you to view the journal entry lines and access the entries in the log: this enables you to track how balances in a ledger account were created.

How does the screen work?

When you enter a memorial day book in the Memorial Day Books screen, the pages of the relevant day book will appear in the top section of the screen.

If you click one of these pages, you will see the information at the bottom of the screen (Journal entry) and in the Display Panel (i.e. the right-hand column of the screen: Page, Transactions, Line).

Select a page and click the Lines tab at the bottom of the screen to view the detailed data on this page or to add lines. Use the Page tab to edit the General Data.

Ribbon features (Start)

In this folder

Day Book Entry

Display Panel

Operations