Index to Reports: Checkbook Tab
All transactions entered in Receive Money, Deposit Refund Check, and Customer Payments.
Note: The report displays only transactions that were entered in windows to which your password allows access.
Cash Receipts Journal
12/1/00 To 12/31/00
Src |
Date |
ID# |
Acct# |
Account Name |
Debit |
Credit |
Job |
_______________________________________________________________________________________________________ | |||||||
CR |
12/1/00 |
Payment; Acme Sales, Inc. |
|||||
CR000001 |
1-1100 |
Checking Account |
$6,000.00 |
Claire | |||
CR000001 |
1-3000 |
Accounts Receivable |
$6,000.00 |
Claire | |||
_______________________________________________________________________________________________________ | |||||||
CR |
12/2/00 |
Payment; Boffo Products |
|||||
CR000002 |
1-1100 |
Checking Account |
$5,000.00 |
||||
CR000002 |
1-3000 |
Accounts Receivable |
$2,500.00 |
Claire | |||
CR000002 |
1-3000 |
Accounts Receivable |
$2,500.00 |
Claire | |||
_______________________________________________________________________________________________________ | |||||||
CR |
12/2/00 |
Payment; Smith |
|||||
CR000003 |
1-1100 |
Checking Account |
$11,000.00 |
Claire | |||
CR000003 |
1-3000 |
Accounts Receivable |
$10,500.00 |
Claire | |||
CR000003 |
1-3000 |
Accounts Receivable |
$500.00 |
Claire | |||
_______________________________________________________________________________________________________ | |||||||
Grand Total: |
$22,000.00 |
$22,000.00 |
|||||
_______________________________________________________________________________________________________ |