1 | Open 1-1 Checks/Bank Charges. In the Account# box, enter the source account. |
2 | In the Check# box, enter the bank transaction number or a dummy transaction number. |
3 | In the Date box, enter the date of transfer. |
4 | In the Description box, enter a brief statement about the transfer. |
5 | In the Vendor box, enter the vendor number. |
6 | In the Status list, click 1-Open. |
7 | In the grid, do the following: |
a | In the Account cell, enter the clearing account to which you are transferring funds. |
b | If the account selected has subsidiary accounts, enter the number in the Subaccount cell. |
c | In the Debit Amount cell, enter the amount of the transfer. |
8 | On the File menu, click Save. |
9 | Open 1-2 Deposits/Interest. In the Account# box, enter the destination account number. |
10 | In the Deposit# box, enter the bank transaction number or a dummy transaction number. |
11 | In the Date box, enter the date of the transfer. |
12 | In the Description box, enter a brief statement about the transfer. |
13 | In the Status list, click 1-Open. |
14 | In the grid, do the following: |
a | In the Account cell, enter the clearing account from which funds originate. |
b | If the account selected has subsidiary accounts, enter the number in the Subaccount cell. |
c | In the Credit Amount cell, enter the amount of the transfer. |
15 | On the File menu, click Save. |
Tip: You can verify the complete transfer of funds by viewing the clearing account balance in 1-7 General Ledger Accounts.
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