Choose any Add On with Lifetime validity – Works on both Single & Multi User
Cheque Return Management
- Description
This Add-on provides a comprehensive reporting of bounced cheques from all parties. You can book the bounce entry against the same reference it was received. Also, you can get details of bank charges transacted in both sides. Suppose, you receive a cheque after 90 days of bill overdue, the receipt entry clears this bill ref. & the cheque is returned unpaid. You pass a return entry by generating a new bill ref. – How to know how old is this outstanding? Cheque dishonor incidents will provide unrealistic outstanding management, if you don’t relate this return entry to the original due bill ref. & don’t account for the net bank charges. - Compatible With
Version : Tally.ERP9 Release 6.6 to TallyPrime Release 2.0
Outstanding Report Based on Cost Centres
- Description
This Add-on generates a detailed outstanding statement of your parties based on sales done by your cost centres (i.e. Salesperson, Agents, Brokers, Branches, Depots). Thus using this add-on, you can view cost centre wise outstanding (both bills receivable & bills payable). - Compatible With
Version : Tally.ERP9 Release 6.6 to TallyPrime Release 2.0
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